UNDERSTANDING PREVENT POLICING THROUGH DISPOSITIF … Ethos... · 4.2.2 Reflexive Modernity...
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UNDERSTANDING PREVENT POLICING
THROUGH DISPOSITIF AND REFLEXIVE
RISK
PAUL DRESSER
PhD 2015
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UNDERSTANDING PREVENT POLICING
THROUGH DISPOSITIF AND REFLEXIVE
RISK
PAUL DRESSER
A thesis submitted in partial fulfilment of the
requirements of Manchester Metropolitan
University for the degree of
Doctor of Philosophy
Faculty of Humanities, Languages and Social
Science
2015
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Abstract
In June 2011, PREVENT, as part of the UK’s counter-terrorism strategy CONTEST, was
reformatted around the notion of ‘risk’. Despite this, there is a paucity of empirical enquiry
which has examined the relationship between PREVENT and risk. The objective of this thesis
is to analyse PREVENT policing, in terms of how risk is understood, as well as how PREVENT
police operations are delivered, perceived and experienced by those tasked with counter-
terrorism. This thesis is a single-embedded case study in a geographical area defined by
government funding structure as ‘low risk’. Through conducting qualitative interviews with
PREVENT police officers and individuals drawn from security disciplines and interconnecting
institutions, three key themes were identified. First, risk was understood to be interrelated with
the concept of trust. Specifically, there was an emphasis on increasing trust with both internal
and external partners given that PREVENT is now deployed through a multi-agency approach.
Second, PREVENT was conceptualised as “safeguarding” rather than counter-terrorism,
counter-radicalisation and/or de-radicalisation. Third, risk was linked to the notion of “gut
feeling” at the referral (identification) stage of counter-radicalisation in the absence of
radicalisation knowledge. As well as the fieldwork data which are empirically driven, a second
objective of this thesis is to use a theoretical framework of Foucault’s concept of ‘dispositif’,
emanating from analyses of governmentality, as well as ‘reflexive’ risk, in line with the works
of Ulrich Beck and Anthony Giddens’ ‘risk society’, as measured against the interview data.
Drawing attention to the effects of both risk positions at local level, this thesis argues that
PREVENT policing cannot be reduced to a single factor risk perspective. Moreover, this thesis
provides a more nuanced account of counter-terrorism through risk by illuminating the
messiness, complexity and empirical reality of PREVENT policing on the ground.
Contents Page
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____________________________________________________
Abstract 3
Table of Contents 4
List of Appendices 8
List of Figures 8
Acknowledgements 10
Acronyms and Abbreviations 11
Chapter 1: Introduction
1.1 Introduction 14
1.2 PREVENT: Reform through Risk 15
1.3 Statement of the Problem: On PREVENT 16
1.3.1 Reading the Thesis 18
1.3.2 Theory Direction 20
1.3.3 Statement of the Problem: On Risk 22
1.3.4 Situating the Thesis 23
1.4 Research Aims 24
1.5 Research Questions 24
1.5.1 Study Propositions 25
1.6 Thesis Organisation 26
1.6 Thesis Organisation
Part I: Literature Review 29
Chapter 2: CONTEST, PREVENT and Domestic (UK) Counter-Terrorism Policy
2.1 Introduction 30
2.2 CONTEST 31
2.2.1 CONTEST II 33
2.3 PREVENT and the Concept of Radicalisation 36
2.3.1 Funding for PREVENT 38
2.3.2 PREVENT Policing 40
2.3.3 PREVENT Policing: Three Phases of Development 41
2.4 Counter-Radicalisation: Community Involvement 44
2.5 PREVENT: A Failing Policy 46
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2.6 PREVENT 2011: New Government, New Objectives 49
2.7 PREVENT(ion) through Risk 52
2.8 The CHANNEL Programme 55
2.9 Conclusion 60
Chapter 3: Dispositif, Governmentality and Risk
3.1 Introduction 61
3.2 Securite de Dispositif: ‘Apparatus’ 62
3.2.1 Dispositif: Power as ‘Network’ 64
3.2.2 Dispositif as Productive 66
3.3 Governmentality 69
3.3.1 Governmentality: Population 71
3.3.2 Governmentality: Subjectification 72
3.3.3 Governmentality: Circulation 74
3.3.4 Governmental Milieu 76
3.4 Dispositif, Insurance and Risk 78
3.4.1 Dispositif Precautionary Risk 81
3.4.2 Dispositif Risk: ‘At the Limit’ 83
3.5 Conclusion 87
Chapter 4: Risk Society and Reflexive Risk
4.1 Introduction 89
4.2 Ulrich Beck’s ‘Risk Society’ 89
4.2.1 The Paradox of Modernisation 93
4.2.2 Reflexive Modernity According to Beck 94
4.2.3 Sub-Politics 99
4.3 Risk and Individualisation 100
4.4 Reflexive Action According to Anthony Giddens 101
4.4.1 The Uncertainty of Knowledge: Ontological (In)security 105
4.4.2 Identity: The Reflective Self 107
4.4.3 Risk and Trust in Postmodernity 110
4.5 Conclusion 114
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Part II: Research Design, Research Findings & Data Analysis 117
Chapter 5: Methodology
5.1 Introduction 118
5.2 Research Questions 118
5.2.1 Study Propositions 118
5.3 Research Design 119
5.3.1 Case Definition 121
5.3.2 A Qualitative Approach 123
5.3.3 Qualitative Semi-Structured Interviews 124
5.3.4 Ethical Considerations and Risk Management 126
5.3.5 Informed Consent 127
5.4 Validity 128
5.4.1 Reliability 130
5.5 Participants 131
5.6 Sampling Approach 132
5.6.1 Extending the Sample: Embedded Unit of Analysis 133
5.7 Reflexivity 134
5.7.1 Epistemological Reflexivity 134
5.7.2 Assumptions 135
5.7.3 Personal Reflexivity 135
5.7.4 Identifying Methodological Dilemmas 136
5.7.5 Resolving Methodological Dilemmas 137
5.7.6 Reflecting on Methodological Dilemmas and Resolves 139
5.7.7 Reflecting on Resolves and Findings 141
5.8 Data Analysis 145
5.8.1 Transcription of Data 145
5.8.2 Thematic Analysis 147
5.8.3 Data Presentation 149
5.8.4 Data Analysis Approach 149
Chapter 6: Key Findings
6.1 Introduction and Chapter Organisation 152
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6.2 Key Theme 1: Risk and Trust 153
6.2.1 “Buying-into” PREVENT through Trust 156
6.2.2 Trusting PREVENT 159
6.3 Key Theme 2: PREVENT as Safeguarding 168
6.3.1 Embedding Expertise through Safeguarding 169
6.3.2 “Radicalisation: Another Form of Abuse” 174
6.4 Key Theme 3: Risk as Gut Feeling 178
6.4.1 “It might be nothing, but...” 180
6.5 Conclusion 185
Chapter 7: Comparatives between Research Findings and Literature
7.1 Introduction and Chapter Organisation 187
7.2 Key Theme 1: Risk and Trust 188
7.2.1 Reading overt PREVENT Policing through the Risk Society 188
7.2.2 Trusting PREVENT 197
7.2.3 Troubling Giddens 206
7.3 Key Theme 2: PREVENT as Safeguarding 209
7.3.1 Embedding Expertise: Assemblage over Network 209
7.3.2 PREVENT and the Petty Sovereign 214
7.3.3 PREVENT(ion) through Language 219
7.3.4 PREVENT(ion) through Safeguarding: Political Rationality 224
7.4 Key Theme 3: Risk as Gut Feeling 227
7.4.1 PREVENT as Pre-emption and the Play of Affect 228
7.4.2 PREVENT: Risk as Politics 234
Chapter 8: Final Remarks and Directions for Future Research
8.1 Introduction 239
8.2 On Pragmatics and Philosophy 240
8.3 On Risk 245
Bibliography 248
List of Appendices
Appendix A: National PREVENT Policing Funding Distribution
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2010-2011 284
Appendix B: Local Authority Delivered (PREVENT) Activity
in 2008 285
Appendix C: Local Authority Projects via DCLG Funding
2009-2011 286
Appendix D: PREVENT ‘Priority Areas’ as of 2013 287
Appendix E: CHANNEL Model Scheme 288
Appendix F: Case Study Tactics for Four Design Tests 289
Appendix G: Braun and Clarke’s (2006) Six Phases of
Thematic Analysis 290
Appendix H: Example(s) of Coding Technique 291
Appendix I: Examples of Block and File Phase One and
Phase Two Coding 294
Appendix J: Examples of Block and File Thematic Analysis
with Explanation of Codes 296
Appendix K: Fieldwork Participant Consent Form 303
List of Figures
2.3 PREVENT Funding 2009-2015 39
2.3.1 PREVENT Policing Intervention Modes 43
2.8 National ACPO Statistics for CHANNEL Referrals 2006-2014 56
2.8.1 Examples of Vulnerability Indicators 58
2.8.2 Psychological Hooks 59
2.8.3 Intent Factors 59 2.8.4
Capability Factors 59 4.3
‘Time-Space Distanciation’ 111
4.4 ‘Access Point’ 114
4.5 The Parameters of the Risk Society 115
5.3 Case Study Classification Matrix 121
5.3.1 Single-embedded Case Study Design 122
7.2 ‘Chronic Reflection’ 202 7.3
‘Dis- and Re-embedding’ 204
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Acknowledgements
I would like to express my gratitude to my Director of Studies, Dr Kathryn Chadwick, for your
guidance, direction, feedback and support. I would also like to extend my thanks to my two
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further supervisors Dr Robert Grimm and Dr Peter Joyce. Gratitude must also be extended to
Dr Jamie Harding for your ever-insightful methodological guidance. I would also like to thank
Sarah Soppitt for your endless support which continues to inspire me as an academic.
I would like to expend my thanks to the men and women who set aside their busy schedules
and took the time to speak with me. As much as I would like to acknowledge you individually,
to preserve anonymity this is not possible. Nevertheless, I will always remember your open,
welcoming and warm nature. Moreover, your willingness to engage and share your views
provided a critical and unique voice for PREVENT police - a voice that has so far remained
somewhat mute. Furthermore, whilst PREVENT is never far from the political and media
forefront (more often than not for the wrong reasons) your passion and commitment to ensure
the safety of the communities that you serve cannot be overstated. As I have said to some of
you previously, I have only revealed a thin empirical layer of PREVENT and I am sure future
opportunities will present themselves to continue our engagement. For now, I sincerely hope I
have told your story accurately.
I would like to thank my family, particularly my parents. Without your support, this thesis
would not have been possible. I would also like to extend my gratitude to Ruby. Working on a
project of such magnitude inevitably brings with it social isolation. You have been a man’s
best friend and a true companion over the last two years – a bond perhaps similar to that of
‘Wilson’ and Tom Hanks’ character in Castaway.
However, it is to my partner and best friend who I owe the greatest debt. Recently, not only
have you carried me financially, but your emotional support has been imperative to what has
been a long and arduous, yet rewarding endeavour. To Amy, ‘a flower bloomed already wilting,
beginning its life with an early ending’.1 This thesis is dedicated to you both.
Acronyms and Abbreviations
Chapter 1
1 Gonzales (2011).
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PREVENT - A multi‐disciplinary, cross departmental strand of the government’s CONTEST
strategy intended to provide a holistic response to the full spectrum of terrorist risks and threats.
CONTEST -
The UK’s Counter-terrorism Strategy CONTEST II -
The Revised UK Counter-terrorism Strategy (2009)
UK - United Kingdom
NSS - National Security Strategy
NRR - National Risk Register
TPIMs - Terrorism Prevention and Investigation Measures
BME - Black and Minority Ethnic
CT - Counter-terrorism
AQ - Al-Qaeda
PP - PREVENT Policing
Chapter 2
US - United States of America
9/11 - Terrorist Attacks on the United States of America, September 2001
CRNT - Chemical Radiological Nuclear Terrorism
SDSR - Strategic Defence and Security Review
NETCU - National Extremism Tactical Co-ordination Unit
JTAC - Joint Terrorism Analysis Centre
NPOIU - National Public Order Intelligence Unit
NDET - National Domestic Extremism Team
NDEU - National Domestic Extremism Unit
ACPO - Association of Chief Police Officers
ISC - Intelligence and Security Committee of Parliament
GCHQ - Government Communications Headquarters
MI5 - The Security Service
MI6 - Secret Intelligence Service
CNI - Critical National Infrastructure
ICT - International Counter-Terrorist Threat
NIRT - Northern Irish Related Terrorism
PTA - Prevention of Terrorism ACT
NRA - National Risk Assessment
ACPOS - Association of Chief Police Officers in Scotland
WECTU - Welsh Extremism and Counter- Terrorism Unit
SVEU - Scottish Violent Extremism Unit
RICU - Research, Information and Communications Unit
DCLG - Department for Communities and Local Government
DCSF - Department for Children, Schools and Families
PVE - Preventing Violent Extremism
OSCT - Office for Security and Counter-Terrorism
DfE - Department for Education
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MoJ - Ministry of Justice
FCO - Foreign & Commonwealth Office
CTU - Counter-Terrorism Unit
CTIU - Counter-Terrorism Intelligence Unit
SO15 - UK Police National Counter-terrorism Network
NCTPHQ - National Counter-terrorism Police Headquarters
PCC - Police and Crime Commissioner
ACPOTAM - Association of Chief Police Officers Terrorism and Allied Matters
YJB - Youth Justice Board
CLG - Communities and Local Government
PSA 26 - Public Service Agreement 26
EDL - English Defence League
UKBA - UK Border Agency
CTLP - Counter‐Terrorism Local Profile
BCU - Basic Command Unit
LPU - Local Policing Unit
PEO - PREVENT Engagement Officer
SPOC - Single Point of Contact
MAPPA - Multi-Agency Public Protection Arrangements
CHANNEL - Collaboration between local authorities, the police and statutory partners and
the local community to channel at risk individuals away from radicalisation.
ERG22 - Extreme Risk Guidance 22 (22 vulnerability indicators of radicalisation risk).
Chapter 3
HoS - History of Sexuality
EU - European Union
HIV - Human Immunodeficiency Virus
Chapter 4
WIA - Worst Imaginable Accidents
Chapter 5
UoA - Unit of Analysis
IPA - Interpretative Phenomenological Analysis
DoS – Director of Studies
Chapter 6
ACT NOW - Interactive PREVENT product used to enhance police/community relations.
NPT - Neighbourhood Policing Team
SPOC - Single Point of Contact
IAG - Independent Advisory Group
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SB - Special Branch
WRAP - Workshop to Raise Awareness of PREVENT
NHS – National Health Service (UK)
NBM – Neighbourhood Beat Manager
Chapter 7
NATO - Northern Atlantic Treaty Organisation
GP - General Practitioner
PVP Unit - Protecting Vulnerable People Unit
YOT - Youth Offending Team
Chapter 1
Introduction
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1.1 Introduction
Over the last decade, the organisation and principal methodologies of counter‐terrorism2 work
have undergone significant reform. In the UK, much of this innovation has taken place under
the auspices of the PREVENT3 programme (Innes et al., 2011: 16). Prior to the attacks on the
London transport system in 2005, PREVENT had been the least developed of the four
CONTEST strands4 but, for one commentator, ‘over the course of the following five years,
PREVENT became the world’s most extensive counter-radicalisation policy’ (Burke, 2006, as
cited in Thomas, 2012).
Since its inception (and in its most recent formulation), the key task of PREVENT has
been explicitly and specifically concerned with stopping radicalisation, discouraging people
from becoming terrorists5 and challenging extremist ideologies which can be made to justify
terrorism (HM Government, 2011b: 25, [Figure 6.7]). In Home Office policy, radicalisation is
defined as the ‘processes whereby certain experiences and events in a person’s life cause them
to become radicalised, to the extent of turning to violence to resolve perceived grievances’6
(HM Government, 2006: 1, 9; HM Government, 2011b). Thus, the organising logic of
PREVENT is the interconnections between ‘knowledges’ about radicalisation and the
practice(s) of ‘preventative’ security (Heath-Kelly, 2012). Theoretically, this modelling allows
security agents to identify where individuals exist on a progression towards radicalisation, and
more importantly, what particular traits or characteristics are common, or even necessary,
within these stages of advancement (Martin, 2014a: 191).7
PREVENT has also been the recipient of
increasing academic attention mirroring the increased funding it has received within the
broader milieu of the UK’s CT interventions. 8 Related to this aspect, there has been a
burgeoning academic literature which, rooted in positivistic epistemology, has focussed on
testing the validity of isolated variables in terms of the potential of individuals to be
2 CT hereafter. 3 In academia and government policy, ‘PREVENT’ and ‘Prevent’ are used synonymously. Throughout this thesis,
I have used ‘PREVENT’ for coherence and to clearly separate the strategy from the verb. 4 PURSUE, PROTECT and PREPARE make up the further three pillars of CONTEST. 5 HM Government (2009a: 56, reprinted from the National Security Strategy of the United Kingdom, Cabinet
Office, 2008b: 44); see also HM Government (2006: 1 and 2011b). 6 Whilst the term ‘radicalisation’ has become central to CT policy-making in the UK, as Kundnani (2012) points
out, the concept of radicalisation is by no means as solid and clear as many seem to take for granted: hence drawing
upon the UK Home Office definition within the present study. 7 See Sageman (2004, 2008); Wiktorowicz (2005), for important examples of such approaches. 8 The UK security environment is also driven by the National Security Strategy (NSS) and the National Risk
Register (NRR).
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‘radicalised’ (Martin, 2014a: 191; see also King and Taylor, 2011; Horgan, 2008). Like
radicalisation, a precise definition of PREVENT has thus far alluded the criminological gaze,
however PREVENT has been broadly defined as ‘a multi‐disciplinary, cross departmental
strand of the government’s CONTEST strategy intended to provide a holistic response to the
full spectrum of terrorist risks and threats’ (Innes et al., 2011: 11).
1.2 PREVENT: Reform through Risk
With its aims to combat terrorism through local social programmes, the PREVENT policy9 has
provided a new inward focus to British CT strategy (Rikabi, 2013: 25). Nevertheless,
PREVENT has been criticised on numerous fronts since its formal introduction in 2008 leading
to high profile reform. Notable criticism came from the Communities and Local Government
Committee report,10 which concluded: the single focus on Muslims has been counterproductive
to the aims of PREVENT; a required refocus of PREVENT to address a broader range of
extremism across all communities; and suggested the need for a more comprehensive and
effective assessment of risk (Aly et al., 2014: 369). Subsequently, in June 2011, PREVENT
was (re)conceptualised upon the notion of ‘risk’. It is now accepted that the PREVENT strategy
is presented as acting upon the risk of terrorism and is understood to address ‘radicalisation’ in
the face of the ‘greatest risk to our security’ (HM Government, 2011b: 59, emphasis added). It
is posited that the greatest risk to the UK remains al Qaeda-related 11 terrorism and the
‘extremist ideas’ that ‘terrorist ideologies’ draw upon (HM Government, 2011b: 59, 6).
However, in its revised version, PREVENT concentrates on all types of extremism,12 including
right- and left-wing extremist ideologies. The PREVENT review in
June 2011 also significantly altered the size and approach of PREVENT. In a determined effort
to distance prioritising PREVENT activity based on population demographics 13 (HM
9 Throughout the present study I use the terms PREVENT ‘policy’ and PREVENT ‘strategy’ interchangeably to
refer to HM Government (2011b). 10 See House of Commons (2010). 11 AQ hereafter. 12 Much like the concept of radicalisation, ‘extremism’ has become a nebulous term with many different
interpretations and definitions. This has resulted in a polarised debate about what the term ‘extremism’ constitutes
(Awan and Blakemore, 2013). In this instance, I have drawn upon the official UK government definition.
Extremism is defined in the PREVENT strategy as, ‘vocal or active opposition to fundamental British values,
including democracy, the rule of law, individual liberty and mutual respect and tolerance of different faiths and
beliefs. We also include in our definition of extremism calls for the death of members of our armed forces, whether
in this country or overseas’ (HM Government, 2011b: 107). 13 Pre- 2011, PREVENT ‘priority areas’ were selected according to Muslim population density (see Kundnani,
2009).
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Government, 2011: 11), the allocation of resources are now said to be proportionate to threat
levels across the UK (HM Government, 2011b: 6). Consequently, PREVENT funding is
restricted to 25 priority areas on an ‘intelligence-led basis’. Furthermore, as of 2014, 11 priority
areas have been added, 5 of which are considered ‘supported areas’. Thus, the majority of
PREVENT effort is now centred on risk ‘hotspots’ which are assessed against the threat of
radicalisation and/or extremism. In essence, through a portrayal of
radicalisation as a linear progression of subjectivity towards violence, the concept behind
PREVENT renders governable those considered to be ‘at risk’ (see Heath-Kelly, 2012; de
Goede and Simon, 2013; Martin, 2014b). Emphasis is placed on the creation of successful
identification mechanisms and it sees success in terms of their predictive power (Martin, 2014:
191). As the PREVENT strategy outlines, PREVENT is a national strategy for countering
terrorist ideology and religious radicalisation. It comprises interventions for ‘at risk’
individuals and other community-based strategies for countering extremism (HM Government,
2011b). Thus, understanding (and indeed preventing) forms of radicalisation might be seen as
cohesive project of risk knowledge which is deployed to render terrorism pre-emptively
governable (Heath-Kelly, 2012: 2).
1.3 Statement of the Problem: On PREVENT
The existence of a risk-driven framework within UK CT most certainly should make us think
carefully about how to frame, formulate, present and practically implement prevention policies.
Yet, there are significant empirical and policy oversights that remain unanswered. First,
PREVENT targets the potential future terrorist and thus the object of PREVENT’s desire is
that which is categorically unknowable 14 (Martin, 2014b: 1-2, emphasis added). The
importance accorded to the police’s role in this newly realised anticipatory logic is evident
throughout CONTEST II and the revised PREVENT strategy. Although the PREVENT
strategy makes clear, ‘[PREVENT] is not a police programme and it must not become one’
(HM Government, 2011b: 9), police authority members now demonstrate a high level of
involvement in PREVENT.15 Furthermore, the establishment of an overt policing element
designed to engage with communities and key partners to address the risks which may lead
individuals to engage in terrorist activity remains a key pillar of PREVENT (HM Government,
14 A key aim of PREVENT is to reduce the potential of terrorist violence before the threat has even crystallised
within the mind of the perpetrator (Martin, 2014a). 15 See inter alia HM Inspectorate of Constabulary and Audit Commission (2008).
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2011b). However, despite a wealth of literature on PREVENT and the concept of radicalisation
more generally, as Spalek (2014: 831) points out, ‘there is little substantive research about how
individuals engaged in CT initiatives, whether police officers or other professionals, negotiate
this challenging terrain’. This dearth has been exacerbated by the fact that numerous
commentaries and policy‐level analyses of PREVENT have specifically focused on Islam as
linked to the concept of ‘suspect community’. Alas, this has been at the expense of
systematically gathering evidence about how PREVENT interventions are being delivered,
perceived and experienced by those tasked with counter-radicalisation on the ground.16
Second,
despite PREVENT being re-modelled around the concept of it risk in its reformatted version,
qualitative (in-depth) analyses of PREVENT through a lens of risk are particularly shallow.
Moreover, research which has examined PREVENT (and specifically the police’s role) in areas
defined by government funding structure as ‘low risk’17 is completely absent. In a similar way
that PREVENT (as a policy) suffered from a fallacy of centring activity on certain communities
pre-2011 revision, empirical research has followed suit. Whilst PREVENT has been critiqued
from numerous angles,18 most, if not all, have specifically focused on areas with a high Black
and Minority Ethnic (BME) population density. Paradoxically, such research risks perpetuating
exactly the sort of broad-brush ‘essentialising’ that it criticises (Thomas, 2012). The
aforementioned theoretical lacunas are astonishing when you consider the depth and scope of
research that has been conducted around PREVENT since its inception.
Such academic oversight is also mirrored in government
policy and the legislative frameworks associated with PREVENT. For instance, a keyword
search of the PREVENT strategy identifies 42 matches for the words
‘priority(ies)/prioritised/prioritisation’. However, the PREVENT strategy in its revised form
fails to provide any operational information regarding low risk, non-priority funded areas (see
HM Government, 2011b). Whilst it is accepted that the PREVENT policy has been written
with prioritisation in mind, this omission contradicts radicalisation as a non-exceptional
phenomenon, of which the PREVENT strategy advocates.
16 With notable exceptions, see Innes et al. (2011) and Fussey (2013). 17 To the best of my knowledge, there are no empirical-based studies which have provided an in-depth examination
of PREVENT in areas outside of London, Leeds, Manchester, Birmingham and Cardiff. 18 See, for example, Githens-Mazer and Lambert (2010); Spalek and Lambert (2008); Spalek (2009a and b);
Spalek et al. (2010); Thomas (2010, 2014).
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1.3.1 Reading the Thesis
Having briefly outlined the concept behind PREVENT and highlighted some current empirical
and policy dearths, this is an opportune moment to provide clarity on how this thesis should
and should not be read. The present research is a single-embedded case study which relies on
qualitative (in-depth) semi-structured interviews with PREVENT police officers and
individuals drawn from intelligence and security disciplines in an area defined by government
funding structure as ‘non-priority/low risk’. The choice of case study site was driven by theory
and policy relevance. Of note, the present research adopts an idiographic position by accepting
that the findings are potentially unique to the case study. This is in keeping with the ontology
and epistemology of social constructivism, which structures the critique.
In total 21 semi-structured
interviews were conducted with 14 participants over the course of 14 months. The PREVENT
team consisted of a PREVENT Lead; a PREVENT Sergeant; a PREVENT Police Officer and
a CHANNEL Officer. However, in order to contextualise the multi-agency arrangements of
PREVENT, further interviews were conducted with various professionals drawn from law
enforcement, intelligence disciplines, local authorities and inter-organisational roles; some
with extensive experience and knowledge of PREVENT. This included a PREVENT Sergeant
from a different police force; neighbourhood police officers; a Youth Offending Team Case
Manager; a Supported Housing Officer; a Local Housing Officer; a Community Safety Officer;
a Community Engagement Officer; and a CHANNEL Intervention Provider. The data derived
from the PREVENT police team serves as the main unit of analysis for the thesis, whereas the
data afforded by participants from interrelated CT roles should be read as an embedded unit of
analysis (Yin, 2012) within a single-embedded case study. The embedded unit of analysis is
used to support or challenge the intensive qualitative data obtained from the PREVENT team,
as reflected upon in the research findings.
As an important caveat, this thesis departs from existing analyses of risk and suspect
communities within British CT. Rather, it follows a path similar to research by Heath-Kelly
(2013: 3) by focusing on the ‘‘hows’ and ‘whys’ that require examination relative to the
incorporation of risk-based models within UK CT’. Specifically, this thesis provides
perspective on how risk is deployed and understood from the insight afforded by practitioners
tasked with counter-radicalisation. Since the present study does not analyse PREVENT
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policing19 from a local community perspective (ultimately, the focus is upon issues of ‘how’
rather than ‘whom’), many might view the axiology20 underpinning the research as somewhat
dispassionate. However, not only have community perspectives of PREVENT been covered
elsewhere, but removing emotion from research should not be viewed with negativity or
distain.
This thesis does not reject the imposition of any a priori theoretical frameworks or
‘theory direction’ (Grbich, 2013) at the outset, but contains several study propositions, thus
coinciding with deductive reasoning (Yin, 2009). Yin (2009) defines study propositions as ‘the
hypotheses that the researcher is looking to test through data collection and analysis’. The
insight of those tasked with counter-radicalisation provides a sufficient blueprint to examine
the theoretical propositions of dispositif risk, emanating from Foucauldian analyses of
‘governmentality’, and reflexive risk, in line with the oeuvre of Beck and Giddens’ theory of a
‘risk society’. Both risk positions are tested empirically at local level rather than against
exceptional frameworks, as has thus far been the case within the context of the war on terror.
However, these study propositions were ignored temporarily to allow the fieldwork to ‘tell its
own story, in its own way’ (Yin, 2012: 124). Subsequently, this permitted the development of
categories and eventually “meaning” based on the experiences and accounts of the PREVENT
practitioners and not on preconceptions (Yin, 2014: 124). Moreover, ‘bottom-up’ reasoning (at
the fieldwork stage) avoided prematurely closing off possible areas of enquiry (Bryman, 1988).
The following section outlines the study propositions that structure the theoretical framework
of the thesis.
1.3.2 Theory Direction
In academic circles, risk has become a major topic of concern within criminology in order to
19 PP hereafter. 20 ‘Axiology’ concerns the role of values and beliefs the researcher brings to research (Robson, 2002).
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explain terrorism with ‘governmentality’ 21 and ‘risk society’ perspectives being at the
vanguard (Mythen and Walklate, 2005: 381). With regard to the former, Foucauldian analyses
focus on how risk management technologies manage populations through abstract factors,
noted in an early analysis by Robert Castel in 1991 before the recent renaissance of risk in post-
structuralist studies of security (Heath-Kelly, 2012: 395). This growing critical body of
scholarship has re-appropriated risk from Beck ‘to engage with the practices that are enacted
in the name of managing risk and uncertainty’ (Amoore and de Goede, 2008a: 9). Scholars
whom heed this charge argue that Beck’s narrative of risks as ideological attempts to “feign
control” as produced by modernity do not travel well to current practices and technologies of
risk in the current war on terror (see Aradau and van Munster, 2007).22 Rather, it is posited that
the identification of risk is not the same as recognising the uncertainty of future events (Aradau
et al., 2008: 150). Characteristic for most of this literature is that it constructs a concept of risk
dispositif23 that works as a yardstick for comparing current risk practices and discourses
(Peterson, 2012: 702). This ‘risk dispositif’ designates certain practices and discursive
elements as fundamental to the modern understanding of risk24 (Peterson, 2012: 702) - for
example, calculability and present control of future uncertainties,25 thus ‘making visible’ the
unknown ‘which would not otherwise be seen’ (Amoore and de Goede, 2008a).
Interestingly, in providing exegeses of Foucault’s
original genealogy of the dispositif, scholars have described risk involving a permanent
adjustment of traditional forms of risk management in light of the double infinity of
catastrophic consequences and the incalculability of the risk of terrorism (Aradau and van
Munster, 2007: 5). What is new is not so much the advent of a risk society as the emergence of
a security politics marked by a precautionary or pre-emptive relationship to futurity that is quite
different from templates of prevention.26 Foremost, it is argued the limit of knowledge and
catastrophe mobilised in the precautionary dispositif introduces decisionistic politics as a form
of governmentality of the future (Aradau and van Munster, 2007: 34).
21 In its most simple form, ‘governmentality’ may be seen as governmental practice that provides a discursive
field of power/knowledge through which governmental problems are articulated and techniques of governance
are rendered “thinkable and practicable both to its practitioners and to those upon whom (they are) practiced”
(Burchell et al., 1991: 3). 22 Cf., Amoore and de Goede (2005). 23 This approach takes its starting point as the conceptualisation of risk as a dispositif i.e. a heterogeneous
assemblage of discursive and material elements for governing social problems (Aradau and van Munster, 2008b:
24). 24 See, for example, Lobo-Guerrero (2008); Muller (2008); Salter (2008). 25 See Foucault (1977, 2007). 26 See, for example, Anderson (2010a); Aradau and van Munster (2007); Stern and Wiener (2006).
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As well as the exponential growth of post-
structuralist analyses of security, recent criminological work of a critical nature that has
embraced a concern with risk more generally (as opposed to terrorism in particular), has sought
to extract elements of Ulrich Beck’s work, rather than adhering to the risk society thesis in its
primary form (Mythen and Walklate, 2005: 382). It is suggested Beck’s work on reflexive
modernisation can be thought of as a ‘politics of risk’, which governs the phenomenon of social
engagement as a form of technologies of risk management. Like Beck, Rasmussen (2001,
2004) and Coker (2002a and b) argue how reflexivity (a concept taken from Beck) has come
to describe the post-9/11 world; a world in which ‘there is no one to give authoritative answers’,
and a world that ‘ceases to be modern and becomes reflexive about its own modernity’
(Rasmussen, 2004: 386). The analytical aim of this approach is to describe the transition from
one form of governance27 to another in order to understand the conditions of risk management
as opposed to (as in critical risk studies) revealing the power structures implied in the everyday
practices of risk (Petersen, 2012: 703).
The parameters of both perspectives of risk have raised a number of
points of departure regarding the formulation of a critical stance in the war on terror (Aradau
and van Munster, 2007: 34). However, the current literature also testifies to a distinct lack of
empirical application at local level, as opposed to more exceptional frameworks.28 As Charlotte
Heath-Kelly (2012: 3, adapted by the present author) observes, ‘given the focus upon risk
within the war on terror, it is surprising that the operations of PREVENT have not been
analysed from a risk perspective’.29 The present research explores the extent to which the
experiences and accounts of those tasked with counter-radicalisation contribute to an
understanding of PP as measured against the aforementioned risk positions. The concern of the
chapter now turns towards justifying the study propositions by situating the present study as an
academic endeavour.
27 ‘Governance’ tends to be defined by pluralistic and decentralised decision-making structures whilst
‘government’ is associated with the constitutional powers of a centralised sovereign state authority. 28 For instance, the concept of dispositif has been applied to: the indefinite detention (Butler, 2006; Ericson, 2008)
extraordinary rendition (Mutimer, 2007) and targeted killing of suspected terrorists (Kessler and Werner, 2008;
Leander 2011); the widespread biometric monitoring of increasingly mobile populations (Amoore, 2009, 2008;
Muller, 2010); the pre-emptive detention of refugees and asylum seekers (Isin and Rygiel, 2007; Weber, 2007);
the pre-emptive freezing of monies and assets suspected of terrorist ties (de Goede, 2011, 2012); and the so-called
“Bush Doctrine” of pre-emptive war (Ehrenberg et al., 2010; Stern and Wiener, 2006; Weber, 2007b). Moreover,
the literature on dispositif precautionary risk has focused primarily on ‘high level’, executive responses, such as
control orders/Terrorism Prevention and Investigation Measure (TPIMs) (McCulloch and Pickering, 2009b;
Zedner, 2009) as well as on crimes of association and preparatory offences (Pickering et al., 2008). 29 Some notable exceptions have made sound theoretical contributions in this area, if not directly related to
PREVENT. For instance, Mythen et al’s. (2009) examination of the production of British Muslims as ‘risky’
communities in the post-9/11 era and the social consequences of this; see also Pantazis and Pemberton (2009).
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1.3.3 Statement of the Problem: On Risk
‘[On risk] we have a range of approaches and perspectives rather than an all-embracing theory. It is
even questionable whether such a theory would be helpful. We might be better off with a range of
competing approaches which allow consideration of the sometimes contradictory aspects of risk
phenomena, and support ongoing discussion. The central idea is to use a range of different approaches
to describe, understand, or explain social phenomena. The observable similarities and differences then
produce a “crystal” of perspectives which would lead to further insights’ (Denzin and Lincoln 2003, as
cited in Zinn, 2008: 200).
The risk positions outlined above (albeit briefly) testify to the fact that risk studies are not a
coherent discipline, but rather a pluralistic debate on the status of the concept of risk (e.g.
analytical or descriptive/constituting; measurable/non-measurable). Importantly, when
discussing the ontological merit of ‘risk’, Mythen and Walklate (2005) articulate that a degree
of theoretical camp sitting has led to something of a critical impasse on the relative merits of
each risk position. Many Foucauldians have resolutely upheld a position as relativist as the risk
society is realist, thus pitching up ‘either side of the river of risk’ (Mythen and Walklate, 2005:
394). Consequently, these predefined concepts of risk become like ‘frameworks for analysis’
or categories that are prescriptive for any possible envisioning of politics and change.
Subsequently, it is arguable that research has erred towards analytic under appreciation,
particularly with regard to explaining CT through risk.
Through an appreciation of both theories as structurally related through the logic of
(concepts within) their functioning, this thesis recognises the diversity in conceptual
understandings of risk by exploring the degree to which their liaison might not simply be
marked by immanent contradiction(s).30 However, this thesis does not claim to conveniently
merge both risk theories as sociological bedfellows. The objective of the thesis is not one of
trying to force these very different perspectives into a harmonious theoretical cocoon. Rather,
the aim is to avoid privileging one discourse on risk and perhaps suggest an alternative way: to
search for potential and possibility and to go beyond philosophical criticism by enlarging our
horizons to the existence of different yet co-habitual concepts within risk itself. Ultimately, this
thesis posits that instead of the binary logic of governmentality theories of risk and the risk
society position, there is perhaps a need for a more complex understanding of the unfolding
30 See Aradau (2004) for a similar approach, if not directly related to PREVENT.
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relationship between the two - this without the imperative to situate the argument within meta-
theoretical claims.
1.3.4 Situating the Thesis
O’Malley (2004b) argues that risk has been understood either as a unifying or uniform concept,
or indeed, taken to imply both. Moreover, as Walklate and Mythen (2011: 102) point out, such
presumptions deny not only the potential of differential understandings of risk, they also deny
diverse experiences of risk. In line with both theoretical assertions, the idea to undertake a
thesis as an epistemological approach emerging from an analysis of the risk literature was borne
out of a review for my Master of Research (MRes) degree. The review discovered that literature
on risk which attempted to ‘labour at the interface’ (Mythen and Walklate, 2005) was
particularly sparse leaving risk, as a theoretical position, partially underdeveloped in social
science(s) - this despite the huge literature on risk available across the entire spectrum of
various disciplines. Many
writings on risk implicitly adopt a particular definitional view that is oblivious either to the
philosophical debate or to other disciplinary perspectives (Althaus, 2005: 568). As one (if
indeed obvious) example, Beck moves directly into a variety of aesthetic and affective
representations which he contrasts to a single, rationalistic “determinate judgement” (Tulloch,
2007: 153). In so being, there is a certain sense in the risk literature that as risk consciousness
permeates all aspects of social existence, other rationalities and technologies of government
have become archaic or subordinate (O’Malley, 2000: 460). Two observations should be
immediately observed. First, it is arguable that there is a fundamental lack of attention given to
theories which point to different discursive representations of meaning and risk amelioration
within the deterministic rationality of risk thinking (Tulloch, 2007: 153). Second, this focus
readily gives rise to a sense – albeit implicit – that other technologies of governance are in
retreat before the inexorable advance of risk itself. Following guidance outlined by Jessop et
al. (2008; see also Mythen and Walklate, 2005), this thesis can be situated as a reflexive
investigation of the interconnections among the aforementioned dimensions of risk – that is,
‘the mutually constitutive relations among their respective structuring principles and the
specific practices associated with each of the latter’ (Jessop et al., 2008: 393).
1.4 Research Aims
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The objective of this research is to document how PP is understood and applied at local level
using a critical lens of risk. It is hoped that the inclusion of the views of practitioners in this
arena will: (1) enhance dialogue, and; (2) contribute to a more informative understanding of
PP as linked to risk. Additionally, this thesis critically considers the implications and domain
conjecture(s) of ‘dispositif’ risk and the notion of ‘reflexive’ risk (or reflexivity) as applied to
PP. In doing so, further objectives of this thesis are: (1) to interpret and to use PP as a vantage
point from which to read the way in which risk can be seen as interwoven in ways not made
evident by current theoretical articulation; (2) to develop risk as a conceptual framework for
CT practices by moving beyond a single theoretical position; and (3) to question whether a
focus upon reflexive risk and dispositif risk helps to construct a more proportionate account of
the realities of PP that better link policy and practice.
1.5 Research Questions
In relation to the research aims, the following research questions are analysed:
1. How is risk understood by PREVENT police officers in a ‘non-priority’
funded/low risk area?
2. How is PREVENT understood operationally by PREVENT police officers at
local (low risk) level?
In contrast to the study propositions (outlined in section 1.5.1), the research questions are
empirically driven thus coinciding with a ‘bottom-up’ data-to-theory framework (Lander and
Sheldrake, 2010). Justifications for adopting this approach, in contrast to, for example, template
analysis, stem from the current state of literature on PREVENT which has so far largely evaded
examining PREVENT from the perspective(s) of those tasked with delivering counter-
radicalisation on the ground. Summing the situation up more generally, Bigo (2000: 98) states,
‘analyses of security ... are too inattentive to the security practices of security professionals and
they are thus “the product of secondary rationalisations that reduce security or identity to natural
objects”’. Further, whilst not directly applying such observations towards PREVENT, Mythen
(2014: 179) posits, ‘we need to embrace rather than shy away from ambiguity and to observe
rather than conceal grey areas’. In line with both observations, PP might be considered a grey
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area given the dearth in research which has explored PREVENT through the insights of
PREVENT practitioners. Thus, in the context of the present study, it was important to avoid
‘ring-fencing’ participants’ views via a rigid methodological framework: hence, adopting
empirical and largely practically driven research questions.
1.5.1 Study Propositions
In contrast to ‘bottom-up’ data-to-theory research questions, the present study also contains
several study positions. However, it is important to note that the study propositions were
ignored at the fieldwork stage to allow the data to ‘tell its own story, in its own way’ (Yin,
2012: 124). The study propositions were then applied at the data analysis stage in order to
develop theories and concepts appropriate to the empirical data. Subsequently, this allowed for
comparisons between current literature and fieldwork data. The study propositions are:
To what degree does dispositif risk, in less than exceptional terms, help to
construct a more proportionate account of PREVENT policing as a form of
social control?
It is possible to integrate reflexive risk and reflexivity into explanations of
PREVENT policing, CT practice and social control?
To what extent are the above risk theories interrelated within PREVENT
policing?
The inclusion of study propositions within the present study coincide with significant lacunas
within the literature. Amoore and de Goede (2008c: 13) posit, ‘the deployment of risk in the
war on terror invites us to think about the complex new interplays of public private,
governmentality and sovereignty biopolitics and geographics’. In relation to this observation,
whilst many studies have been inspired by a Foucauldian disciplinary analytical framework in
the context of the war on terror, as McKee (2009) points out, there has been a preference to
‘disregard the messy empirical actualities’ which results in a ‘fundamental inability to account
for why the governance subject, constituted through discourse, fails to turn up in practice’.
Further, in the context of PREVENT, chorusing McKee, O’Toole et al. (2015) argue, ‘many
studies of PREVENT have focused on its discursive underpinnings through textual analysis of
policy documents’. O’Toole et al. (2015) further add, ‘we suggest there has been a neglect
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within the literature on PREVENT of material practices of governing’. Importantly, this
“discursive” reading of governmentality i.e. concentrating on rationales of governing as
manifest in key (government) documents rather than the specific and concrete ‘art of governing’
(Stenson, 2005: 266), contradicts Foucault’s epistemological position. Whilst Foucault’s
writings are textually based and historical, he argues for, ‘a way that is more empirical, more
directly related to our present situation and one that implies more relations between theory and
practice’ (Foucault, 2003b). Likewise, Beck’s work has been generously applied in the context
of the war on terror; however, such research similarly suffers from a paucity of empirical
enquiry. Thus, through the inclusion of specific study propositions, this thesis enumerates the
interplay between each risk position and their effects at local level. Ultimately, this overcomes
the narrow focus on ‘text-as-evidence’ (McKee, 2009: 19) by illuminating the messiness and
complexity of empirical reality - an endeavour that hinders post-structuralist analyses of
security given an arguable disconnection from the “real”.31
1.6 Thesis Organisation
This thesis is organised into two parts. Part I (chapters 2-4) provides a review of the existing
literature. Chapter 2: CONTEST, PREVENT and Domestic (UK) Counter-terrorism Policy
provides an in-depth discussion of the PREVENT programme, CONTEST, and engages with
a number of key moments when existing CT policy approaches were reassessed and calibrated
post- 9/11. To begin, the chapter provides a synoptic perspective on discourses and practices
of CT law with a particular focus upon CONTEST and CONTEST II. The chapter also provides
perspective on PREVENT funding; the development of PP; and the downwards defluxion of
CT responsibilities towards community level. Following this, the concern of the chapter turns
towards exploring how ‘radicalisation’ has been made possible as a discourse - one that enables
the performance of security around it (Heath-Kelly, 2013: 5). Moreover, the chapter highlights
how PREVENT and CHANNEL (an extension of PREVENT) act upon futurity through, for
example, the notion of vulnerability as linked to risk.
Chapter 3: Dispositif, Governmentality and Risk provides an exploration of Michel
Foucault’s notion of the dispositif. The chapter begins by outlining Foucault’s original meaning
of dispositif with a focus on three key interpretations of the term: dispositif as ‘apparatus’;
dispositif power as ‘network’; and dispositif as ‘productive’. Given that concept of the
31 See McKee (2009) for an important analysis of such.
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dispositif was borne through Foucault’s notion of governmentality the chapter then turns
towards some of the central tenets of Foucault’s ‘governmentality’ theory. This includes
governmentality read as ‘population’, ‘subjectification’, ‘circulation’, and ‘milieu’.
The remainder of the chapter focuses upon more contemporary research from
International Relations, Security Studies and Critical Risk Scholarship, outlining how such
studies attempt to provide exegeses of Foucault’s securite de dispositif through the concept of
‘dispositif precautionary risk’. The chapter explores a growing body of work that has
meticulously documented the discursive emergence and practical proliferation of a novel
iteration of pre-emption that is quite different from templates of prevention in the context of
the post-9/11 global security climate. 32 Moreover, the chapter explores narratives of
diminishing temporal control as ‘security issues have increasingly been defined in terms of
uncertain, potentially catastrophic threats’ (Aalberts and Werner, 2011: 2191). Lastly, the
chapter considers the irruptive contingency of the future as techniques of imagination have
taken on new political significance in the context of the war on terror (de Goede, 2008a: 155).
Chapter 4: Risk Society and Reflexive Risk begins by exploring the parameters
of Ulrich Beck’s ‘Risk (or World Risk) Society’ and the paradigm of ‘reflexivity’ because of a
progression towards reflexive modernity. The first half of the chapter specifically focuses on
the paradox of modernisation; Beck’s optimism about the emergence of a cosmopolitan public
sphere through ‘sub-political’ means; and the ‘individualisation’ of risk according to Beck. The
concern of the chapter then turns towards the work of Anthony Giddens in the context of his
broader social theory of reflexivity. The chapter reflects upon several central tenets of Giddens’
work such as dis-embedding relations; the ontological (in)security of the ‘self’; and Giddens’
understanding of risk and trust within a postmodern world.
Part II of the thesis (chapters 5-7)
provides a review of the methodological design; outlines the data analysis approach; provides
analysis of the key themes distilled from the interview sessions; and reflects upon
convergences, divergences and ambiguities between existing literature and research findings.
Chapter 5: Methodology
describes the methodological research design and provides justifications as to why qualitative
methods were deemed most appropriate in line with the research aims and ontological and
epistemological position of the present study. Within this chapter, I also reflect on the
32 See, for example, Adey and Anderson (2012); Amoore (2007); Anderson (2010a); Aradau and van Munster
(2007, 2011); Cooper (2006); de Goede (2008a, 2012); de Goede and Randalls (2009); Ehrenberg et al. (2010);
Elmer and Opel (2006); Kessler and Werner (2008); Krasmann (2012); Massumi (2005a, 2007); Moreiras (2005).
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applicability of the research findings, both epistemologically and personally, and outline the
data analysis method and approach. Chapter 6: Key
Findings provides analysis of three principal themes that emerged from the fieldwork
interviews. These are risk and trust; PREVENT as safeguarding; and risk as gut feeling. First,
this chapter highlights a significant change in PP methodology from a ‘threat-centric’ model to
an ‘overt’ CT capacity, of which the concept trust is considered particularly crucial.
Furthermore, this chapter highlights certain ambiguities regarding PP as a smooth top-down
governance structure. Second, this chapter draws attention to the fact that PP is becoming
entirely re-conceptualised through an invocation towards “safeguarding” vulnerable
individuals. Subsequently, risk is not so much displaced but re-oriented through terminological
modification Accordingly, such a transformation is having a profoundly depoliticising effect
upon the operations and objectives of PP. Lastly, the chapter highlights practitioners
understanding(s) of acting upon “gut feeling” and “instinct” as linked to risk in the absence of
radicalisation knowledge(s). Acting upon intuitive feeling is understood to offer various
benefits for internal and external partners and objectives of PP more generally.
Chapter 7: Comparatives between Research
Findings and Literature critically reflects upon the three key themes distilled from the
interview sessions as measured against dispositif and reflexive risk. Within this chapter, it is
argued both risk positions provide a sufficient theoretical framework in order to make sense of
the fieldwork data. However, this chapter also highlights various theoretical ambiguities as
measured against the research findings.
Chapter 8: Final Remarks and Directions for Future
Research provides a summary of the preceding two chapters; reflects upon philosophy and
pragmatics; and offers directions for future research.
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Part I:
Literature Review
“No human action, so to speak, is inevitable”.
- Aristotle (Rhetoric, 1357, 25-32,
adapted from Van Eemeren and
Houtlosser, 2000)
Chapter 2
CONTEST, PREVENT and
Domestic (UK) Counter-Terrorism Policy
2.1 Introduction
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As Thomas (2014) observes, describing PREVENT is not straightforward as it has involved a
number of distinct and arguably contradictory elements. This chapter engages with a number
of key moments when existing CT approaches were reassessed and calibrated. Clearly, the
watershed moment for UK CT came with the 2005 terrorist attacks on London, of which the
threat of suicide attacks by British citizens was “brought home” (CONTEST, 2006: 3).
Moreover, the defeat of the Labour party in the May 2010 elections and the formation of a
coalition government by the Conservative and Liberal Democrat parties led to a further review
and reassessment of policies, which has subsequently initiated a new era of CT. The chapter
specifically looks at the development of PREVENT in relation to these.
The first part of the chapter briefly explores the historical context of CT within the UK
pre-PREVENT. The focus here will be on CONTEST in order to provide a synoptic perspective
on discourses and practices of CT. It is hoped this will minimise (though far from address)
potentially limiting historical amnesia. The final two-thirds of the chapter provide a detailed
examination of PREVENT. Specifically, the chapter explores PREVENT funding; the
development of PREVENT policing; the diffusion of PREVENT responsibilities towards local
community level; and, following analysis by Heath-Kelly (2013), how ‘radicalisation’ has been
made possible as a discourse - one that enables the performance of security around it. The
concern here is not one of providing a detailed examination of ‘radicalisation’, but to analyse
how the concept of radicalisation makes it possible for PREVENT and CHANNEL (an
extension of PREVENT) to act upon futurity, as opposed to reactive CT methods.
Two important caveats must be acknowledged in the context of the chapter.
First, exploring a longer time horizon of CT pre-CONTEST is not plausible for reasons of
space. Second, this chapter omits analysing the broader contours of what constitutes
“terrorism” for reasons twofold. First, it is for reasons of space. Over the last 15 years, there
has been burgeoning research that has attempted to make sense of terrorism as a concept and
as a tactic. To name but a few there is ‘new terrorism’ post-9/11, ‘lone-actor terrorism’,
‘catastrophic terrorism’, and ‘chemical radiological nuclear terrorism’ (CRNT). Second,
providing a finely constrained examination of terrorism as outlined in legislative policy and/or
academia risks missing important understandings of CT at the research phase.
2.2 CONTEST
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The concepts, goals and structure of current CT policy for the UK are found in the strategy
document CONTEST: The United Kingdom’s Strategy for Countering Terrorism (Weeks,
2013: 105; see HM Government, 2009a). First developed in 2003, CONTEST was the informal
name given to a collection of strategies and abstract frameworks from which public safety and
security organisations could work from to counter the threat of international terrorism within
the UK (Weeks, 2013: 105). The introduction of CONTEST was manifested in a form of series
of legislative norms and new institutions, such as the National Extremism Tactical Co-
ordination Unit (NETCU) in 2004,33 and the Joint Terrorism Analysis Centre (JTAC) within
the MI5 Security Service.34 The objective of the former was to combat “domestic terrorism”
whilst JTAC identifies the sources of terrorism and assess the threat level.35 Post-9/11, the
nature of the threat was originally constructed as an international one (Kuzmic, 2011: 5-6),
although its domestic element was reflected internally before 2005 (e.g. Draft Report on Young
Muslims and Extremism of April 2004).36 Despite the
delay in revealing the details to the public until 2006, CONTEST was leaked to The Times in
2004 that characterised it as “...one of the most ambitious government social engineering
projects in recent years” (Weeks, 2013: 109). This circulating document was described as “an
attempt to co-ordinate the pan-Governmental response to the emerging terrorist threat in the
aftermath of the attacks on New York and Washington, DC, in September 2001” (House of
Commons, 2009: 4). Moreover, CONTEST was simultaneously promoted as a macro socio-
political strategy aimed at winning the “hearts and minds” of the public (Bonino, 2012: 189).
This is an important development as framings from 2001 “to win the battle of hearts and minds”
have underscored terrorism not just as a threat to life, but also as a threat to British values
(Fisher, 2012).37 The battle to win
hearts and minds was also clearly interrelated with a new policy focus on the need to promote
“community cohesion” in Britain; a significant part of the response to the civil disturbances in
33 In 2011, the NETCU merged with the National Public Order Intelligence Unit (NPOIU) and the National
Domestic Extremism Team (NDET) to become the National Domestic Extremism Unit (NDEU). 34 There are two further security and intelligence agencies that have roles in relation to CT; MI6 (Secret
Intelligence Services) and GCHQ (the Government Communications Headquarters) (Choudhury, 2012: 26-27). 35 There are currently three different threat levels in respect of the International Counter-Terrorist (ICT) threat,
the Northern Irish Related Terrorism (NIRT) threat for Great Britain and the NIRT threat for Northern Ireland
(both set by the Security Service). These are communicated to the public via the GOV.UK and Security Service
websites (Home Office, 2013c: 5). More specifically, within the UK there exists a threat assessment system which
assesses the risk from terrorist attacks according to the following five levels of threat: critical – an attack is
expected imminently; severe – an attack is highly likely; substantial – an attack is a strong possibility; moderate
– an attack is possible but not likely; low – an attack is unlikely. 36 See HM Government (2004). 37 The term “hearts and mind” originates in counter-insurgency campaigns and was based on isolating insurgents
through winning the support and trust of the majority (English, 2009).
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duo-cultural ex-industrial towns of Bradford, Burnley and Oldham in 2001 (see Cantle, 2001).
Whilst social cohesion covers a range of socio-economic factors that affects groups or
individuals defined by their social class and economic position, community cohesion is
concerned more directly with relationships between communities defined by ethnicity or
religion (Cantle, 2005). Key within this discursive mix was the conviction of the centripetal
inward-looking dynamics of Muslim communities locked into a supposedly myopic
reproduction of their “traditional” way of life38 (Afshar, 2012: 9). This mapped comfortably on
to a dichotomy that fed both realistic and symbolic threats, coupled with a parallel trajectory
of virulent enmities and the rhetoric of denigration (Alam and Husband, 2013).
Appreciating that 9/11 and the civil
disturbances of 2001 undoubtedly served as inflection points so far as the governance of
national security in the UK is concerned, 39 the defining moment for CT development
domestically was the 7 July 2005 London Underground terrorist bombings (Rikabi, 2013: 25).
Less than four months after the Prevention of Terrorism ACT 2005 (PTA) was passed, a group
of four Islamist British citizens placed bombs on a bus and on three tube trains throughout the
London metropolitan area committing a domestic terrorist attack. The attacks resulted in 52
deaths and more than 770 were injured (House of Commons, 2012: 3). Authorities halted a
copycat attempt on 21 July 2005, but the 7 July 2005 attack left substantial damage (Fisher,
2012: 219). This domestic terrorist attack was the first such kind committed by natural-born
citizens who had an Islamist motive. In 2006, the then British Prime Minister Tony Blair,
described this unprecedented threat from extremism as “... the poisonous propaganda of those
people that warps and perverts the minds of younger people” (The Guardian, 2006, as cited in
Awan and Blakemore, 2013: 5-6).
Issues of cohesion and integration were further intertwined with CT narratives after the
7/7 bombings. However, CONTEST in its original form garnered little attention until it was
refreshed and made public in March 2009 as Prevent, Pursue, Protect, Prepare – The United
Kingdom’s Strategy for Countering International Terrorism, better known as CONTEST II
(House of Commons, 2009: 9; HM Government, 2009b).
2.2.1 CONTEST II
38 It should be noted, as Eid and Karim (2014) observe, ‘a suspicion of the “Other” and a need to control the
definition of that “Otherness” have been integral elements of the creation and legitimation of British imperialism
and colonialism’. 39 Mythen and Walklate (2008) emphasise the importance of 9/11 in relation to domestic CT governance
structures; I have adapted this to include the UK civil disturbances of 2001.
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In March 2009, the government published a revised CT strategy written by The Office for
Security and Counter-Terrorism (OSCT hereafter), known as ‘CONTEST II’ (Kundnani, 2009:
20).40 CONTEST II set out the threat facing Britain and various priorities for dealing with it
through to 2015, reflecting the National Security Strategy (NSS hereafter) (HM Government,
2009a: 10-11),41 the Strategic Defence and Security Review (SDSR hereafter) and the wider
Coalition Programme or Government (Home Office, 2012a: 7). The updated CT strategy was
to be “based on principles that reflect British values” (HM Government, 2009a: 10-11), “the
evolution of the threat, both home and abroad” (House of Commons, 2009: 8), and “the greater
resources which have been made available by the Government to address terrorism” (Innes et
al., 2011). One factor of this “changing security situation” was, according to the then Minister
for Security Lord West, “to raise our game, break out of specialist ‘silos’, avoid being London-
centric and ensure that lessons learned were being incorporated via a stronger central hub”
(House of Commons, 2009: 9, see also Jackson, 2012: 77). Moreover, the NSS set out how it
would ‘address and manage (the) diverse though interconnected set of security challenges and
underlying drivers, both immediately and in the longer term, to safeguard the nation, it’s
citizens, our prosperity and our way of life’ (Cabinet Office, 2008b: 3, emphasis added; see
also House of Commons, 2009: 9). There are two key developments which
distinguish the “new” security problematic (CONTEST II) from its original form (CONTEST).
First, the new strategy signalled a commitment to a much more overt campaign of countering
terrorist violence (Kundnani, 2009). CONTEST II was to represent the government’s
‘determination to place as much information as possible in the public domain ... (with regard
to) security matters’ (House of Commons, 2009: 4). Importantly, CONTEST II explicitly
included citizens as partners in this project to make Britain secure (HM Government, 2009a).
Second, the new security strategy foregrounded the preoccupation with a ‘threat-o-genic’
(Massumi, 2007: 13) interconnected globe and greater emphasis on the protection of the
‘freedoms’ of liberal-democratic life. Specifically, CONTEST II aimed to build on the existing
(CONTEST) policy “to reduce the risk” to the UK and it its interests overseas from
international terrorism, so that people can go about their lives freely and with confidence (HM
Government, 2009a: 6, emphasis added).42 Thus, as Jackson (2012: 79) observes, CONTEST
40 See HM Government (2009a). 41 While the NSS identifies threats from both international and domestic sources The National Risk Assessment
(NRA) and The National Risk Register (NRR) assess those threats that are strictly domestic (Cabinet Office, 2008a:
5). 42 Championing a “free society” is also retained in the Cabinet Office (2009, 2010).
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II explicitly reflects what Bialasiewicz et al. (2007: 416) identify as the primary performative
function of national security in the era of the war on terror: ‘to dissolve inside/outside
spatialisations and therefore open up new spaces for the movement and entrenchment of
neoliberal globalisation’. To define the threat more
specifically, CONTEST II elaborates stating that the threat to the UK (and many other
countries) now came primarily from four sources: (1) the AQ leadership and their immediate
associates; (2) terrorist groups affiliated to AQ; (3) ‘self-starting’ networks, or lone individuals,
motivated by an ideology similar to that of AQ, but with no connection to that organisation;
and (4) terrorist groups that follow a broadly similar ideology as AQ but that have their own
identity and regional agenda (HM Government, 2009a: 11; see also HM Government, 2009b).
Moreover, underpinning the revised strategy was the combination of four alliterative ‘work-
streams’ (or strands), known as the four P’s:
- PREVENT: to stop people becoming terrorists or supporting violent extremism;
- PURSUE: to stop terrorist attacks;
- PROTECT: to strengthen our protection against a terrorist attack; and
- PREPARE: ‘mitigating the impact of attacks’ by increasing Critical National
Infrastructure (CNI) and community resilience.43
Each of these strands has a series of related objectives and supporting programmes
reflecting the aims and principles of the UK’s strategy for countering terrorism. Through their
interlinking, CONTEST II is intended to provide a comprehension strategy for countering-
terrorism, where “work on PURSUE and PREVENT reduces the treat from terrorism; work on
PROTECT and PREPARE reduces the UK’s vulnerability to attack” (HM Government, 2009b:
11). Ultimately, CONTEST II acts as a bridge between intelligence, homeland security and
conciliatory approaches to CT (Jackson et al., 2011: 224-9). Although
the four strands are given a unifying coherence within the strategy (see HM Government 2009a:
80) they are in fact incredibly diverse, deeply embedded in, but also productive of, practices,
roles, policies, and even departments across government; from the Security Services to the
Departments of Health, Education, and Communities and Local Government (Jackson, 2012).
The design of the work-streams and their respective goals are further explained in CONTEST
43 HM Government (2011a: 10); see also HM Government (2009b: 10-15 and 51-125).
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II as attempts to address the complexities and strategic factors that drive current extremist
ideology (Weeks, 2013: 112-13). Moreover, CONTEST II listed four longer-term strategic
factors:
1. Unresolved regional disputes and conflicts (particularly [in] Palestine,
Afghanistan, Bosnia, Chechnya, Lebanon, Kashmir, and Iraq) and state
fragility and failure;
2. Violent extremist ideology associated with AQ, which regards most
governments in Muslim countries as ‘un-Islamic’ or apostate; claims that
these governments are sustained by western (sic) states who are engaged in a
global attack on Islam; and considers violent action to be a religious duty
incumbent upon all Muslims;
3. Modern technologies, which facilitate terrorist propaganda, communications
and terrorist operations;
4. Radicalisation - the process by which people come to support violent
extremism and, in some cases, join terrorist groups. Radicalisation has a range
of causes (including perception of our foreign policy), varying from one
organisation to another.44
Although there is no clear dividing line, domestically the focus of PREVENT is clearly
on radicalisation whereas the remaining three are managed mostly through international efforts
(Weeks, 2013: 116). Since this thesis is appositely concerned with the PREVENT strand of
CONTEST, this chapter does not provide any coverage of other three strands (PURSUE,
PROTECT, and PREPARE). Rather, the remainder of the chapter provides an in-depth
exploration of PREVENT.
2.3 PREVENT45 and the Concept of Radicalisation
44 HM Government (2009b: 11; see also Weeks, 2013: 113). 45 The Home Office now has the lead responsibility of working with communities and local authorities on
PREVENT. In Scotland, PREVENT is delivered by the Scottish Violent Extremism Unit (SVEU); this is a joint
initiative between the Scottish government and the Association of Chief Police Officers in Scotland (ACPOS).
The Welsh Extremism and Counter-Terrorism Unit (WECTU) - a joint initiative between the four police forces
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Since its inception, PREVENT has been explicitly and specifically concerned with ‘tackling
the radicalisation of individuals’ (HM Government, 2006: 1), defined as ‘the processes
whereby certain experiences and events in a person’s life cause them to become radicalised, to
the extent of turning to violence to resolve perceived grievances’ (HM Government, 2006: 1,
9). Thus, the stated goal(s) of PREVENT can be understood as ‘stopping radicalisation,
reducing support for terrorism and discouraging people from becoming terrorists’ (HM
Government, 2009a: 56, reprinted from the Cabinet Office, 2008b: 44). Of note, the centrality
of the term ‘radicalisation’ can be seen in CT policy prior to the crystallisation of PREVENT
within CONTEST II. For instance, the Home Office strategy paper Countering International
Terrorism: The United Kingdom’s Strategy was published in 2006 as a response to the
Intelligence and Security Committee of Parliament (ISC). Specifically, the ISC warned that
‘across the whole of the CT community the development of the home-grown threat and the
radicalism of British citizens were not fully understood or applied to strategic thinking’ (Huq,
2010: 17).46
The PREVENT strategy understands that ‘ideology is a central factor in the
radicalisation process’ (HM Government, 2011b: 40-44). Thus, a key objective of PREVENT
is to ‘respond to the ideological challenge of terrorism’ by undertaking ‘counter-ideological
work’ designed to ensure ‘no ungoverned spaces in which extremism is allowed to flourish’
(HM Government, 2011b: 9). ‘Radicalisation’ here stands as a particular model for ‘explaining’
the causes of terrorism, understood as a process whereby ‘extremist ideas’ are propagated and
disseminated by key activists and thinkers who therefore ‘radicalise’ others because of their
‘vulnerabilities’ to such a message (Coppock and McGovern, 2014: 245). Identifying the nature
of such ‘vulnerabilities’ therefore also emerges as a crucial means of preventing
‘radicalisation’.47 Following this, the other identified key objectives are to prevent individuals
in Wales - works with the Welsh Assembly to implement PREVENT in Wales. Furthermore, the Research,
Information and Communications Unit (RICU) carry out counter-ideological or counter-narrative work
(Choudhury, 2012: 26-27). 46 This is unsurprising given that there is no universally accepted definition of radicalism or radicalisation in
academia or government. For example, the Home Offices’ (2006) definition of radicalisation is different to that
stated in CONTEST II, defined as: ‘... the process by which people come to support violent extremism and, in
some cases, join terrorist groups’ (HM Government, 2009a: 40). Moreover, in their project to ‘reduce the risk to
the UK and its interests overseas from international terrorism’ (HM Government, 2009a, 8, 18, 54, 56), the Home
Office and the Office for Security and Counter-Terrorism theorise ‘radicalisation’ as the process whereby
international terrorism poses a new challenge to UK security by acting through British citizens (Heath-Kelly,
2012: 1). Additionally, over the last ten years, several other government bodies have established their own
definitions of radicalism, which understandably has caused widespread confusion and convolution. 47 The concept of ‘vulnerability’ is explored in further depth later in the chapter.
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being drawn into ‘extremism’ and to diminish the ‘risks of radicalisation’ within a number of
institutional settings (including, notably, schools, colleges and universities) (Coppock and
McGovern, 2014: 245). The
portrayal of radicalisation as a linear progression can be read as interrelated with academic
literature rooted in positivistic epistemology, which has sought to test the validity of isolated
variables in terms of the potential of individuals to be radicalised (Martin, 2014a: 191; see also
King and Taylor, 2011; Horgan, 2008). Recent academic literature has questioned the
significance of a macro focus on the ‘root causes’ of radicalisation, instead focusing on ‘a
cultural-psychological disposition’ (see Lacquer, 2000, 2004; Kundnani, 2012). The cultural-
psychological approach to radicalisation offers predicative possibilities if particular
dispositions or patterns of behaviour can serve as a proxy ‘indicator’ of risk (Kundnani, 2012).
In this way, a more complex account of radicalisation has been proposed in which, a
psychological process, such as a group dynamic or struggles with identity, is seen as interacting
with a process of acquiring an extremist theology (Kundnani, 2012: 8-9).48
It is within CONTEST II where the concept of identity (specifically “Britishness”,
“integration”, and “assimilation”) can be read as a ‘risk factor’ in relation to radicalisation. A
combination of the theological and psychological dispositions perhaps best sums up
PREVENT(ion) within CONTEST II, since in policy terms in the UK, it is characteristic of the
radicalisation discourse, and of the new policy regimes, that they mix a security agenda with
an integration agenda, where security concerns and risk assessment become closely intertwined
with questions of integration, anti-discrimination, and social cohesion (Lindekilde, 2012: 110).
As well as this, PREVENT emphasises the individual as driven by a persuasive ideology
(Sedgwick, 2010: 480) which becomes salient through social networks (see Sageman, 2004)
and personal crises for the uptake of extremist ideas (Heath-Kelly, 2012: 6). Moreover, the
prominent focus on the psychosocial well-being of individuals is clear in the 2009 CONTEST
(II) strategy. As the strategy makes clear, ‘people are not only vulnerable to radicalisation
because of political and economic grievances. A range of social and psychological factors are
also important’ (HM Government, 2009a: 44). Further, it is stated that radicalisation can be
understood, ‘not simply a result of actual or perceived grievances. It may be the result of family
or peer pressure, the absence of positive mentors and role models, a crisis of identity, or
48 The importance of socio-economic factors, as well as cultural-psychological dispositions, is retained in the latest
version of the PREVENT strategy which states, ‘individuals drawn towards right-wing terrorism are usually
poorly educated males and often unemployed (although there are some cases of high-achieving individuals)’ (HM
Government, 2011b: 21).
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changing circumstances (e.g. a new environment following migration and asylum)’ (HM
Government, 2009a: 89).
2.3.1 Funding for PREVENT
Interrelated with new and developing discourses on the concept of radicalisation, there has
been considerable intellectual, political and economic investment in developing and enhancing
PREVENT activity (Innes et al., 2011: 4). The initial pathfinder year of 2007/8 (see DCLG,
2007a and b) made £6m available to 70 priority local authorities, specifically those with having
a Muslim population density of 5% or more to build on their existing work to engage with
communities, forge partnerships with police, community and faith groups49 and work with
mosques and education institutions (DCLG, 2007b). However, it is suggested that local
authorities and other bodies were expected to initiate activity with little notice or negotiation
(Thomas, 2014; see also Thomas, 2009; Husband and Alam, 2011). In the following 2008-11
period, PREVENT was expanded to all local authorities with 2% or more of their population
as Muslim (Thomas, 2014). Of note, funding for PREVENT was significantly expanded
between 2008/09 and 2010/11 when £45 million was committed for the ‘Preventing Violent
Extremism’50 (PVE hereafter) strategy through the Department of Communities and Local
Government (DCLG hereafter) via local authorities. Moreover, in 2009/10, DCLG also
established a £3.2 million Challenge and Innovation Fund for local authorities not receiving
the Area Based Grant (HM Government, 2011b: 101). Furthermore, an additional £5.1 million
- made available through the Community Leadership Fund - intended to complement work
being taken forward by local authorities and support leadership capacity within Muslim
communities (HM Government, 2011b: 101).
Across all departments, including the Home Office, Foreign Office, and the Department
for Children, Schools and Families (DCSF hereafter), this all added up to a 2008-2011 PVE
budget of £140 million - an increase in funding by threefold since 2001, some £85 million of
which came from the DCLG, and the security-focussed remainder from the Home Office
(Thomas, 2010: 447-448). Moreover, as of 2014, it is suggested that PREVENT has involved
49 As Rikabi (2013: 26) observes, ‘local government interaction with Muslim and interfaith organisations is not
new; the United Kingdom has established a link with Islamic charities and political groups since the 1980s’. 50 PREVENT work has been underway since 2006 when the DCLG launched two funds under the auspices of the
PREVENT strategy: (1) Community Leadership Fund (centred at capacity building, young people, women and
faith leaders) and (2) Preventing Violent Extremism Pathfinder Fund (funding to projects of local authorities and
civil society) (see DCLG, 2008). Thus, whilst it is often cited that PREVENT has been part of UK CT policy since
2007, this assertion is misinformed.
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a spend of at least £200 million on community-based education and engagement (Thomas,
2014). Figure 2.3 outlines funding for PREVENT from 2009-2015.
Financial Year Funding Amount (£) for PREVENT
2009-201051 47,080,000
2010-2011 44,384,486
2011-2012 35,996,000
2012-2013 35,078,000
2013-201452 39,000,000
2014-2015 40,000,000
Figure 2.3: PREVENT Funding 2009-2015
It is important to note that the majority of PREVENT funding goes to CT policing
(provided by the Home Office). 53 Moreover, it is argued that the policing element of
PREVENT is more unique and distinctive than the other strands of the cross-government
CONTEST strategy which have continued the kinds of working practices associated with
established CT methods (see Innes et al., 2011). Further, since this thesis is appositely
concerned with PP, the policing element of PREVENT warrants analytical depth of its own.
2.3.2 PREVENT Policing54
Police authority members now demonstrate a high level of involvement in PREVENT.55 This
is unsurprising since one of the national threats to the UK that the Strategic Policing
Requirement recognises is terrorism, of which the national security risk assessment identifies
51 2009-2013 statistics as cited in HM Government (2014a) 52 2014-2015 statistics as cited in HM Government (2014b). 53 In an accounting of programme spending in 2010, the House of Lords concluded that 70 percent of funds went
to local police, 15 percent went to social programs, 9 percent went to partnership agencies, and a government
campaign to denounce extremists spent 3 percent (Rikabi, 2013: 2). 54 In the following discussion I draw generously from HM Government (2014c), given that government policy
documents centred on PREVENT policing are significantly sparse. 55 See HM Inspectorate of Constabulary and Audit Commission (2008).
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as a tier one risk56 (HM Government, 2014c: 37). Structurally, the police CT network in
England and Wales consists of a London-based CT command (SO15), with four regions
hosting a CT unit (CTU) and four hosting a CT intelligence unit (CTIU). The units are co-
ordinated nationally and managed locally by a lead force (HM Government, 2014c). Moreover,
to support the national network, each police force in England and Wales retains Special Branch
capability either individually or collaboratively with other forces and it deals with all national
security issues including CT (HM Government, 2014c). Typically, these consist of a group of
police officers and staff who work at a local level to comply with the provisions of CONTEST
and the strategic policing requirement (HM Government, 2014c: 19). Furthermore, since 2010,
there has also been a Counter-Terrorism Internet Referral Unit with responsibility for enforcing
the removal of unlawful terrorist material online (HM Government, 2014c).
It is suggested that PVE
funding has led to 300 new dedicated police posts nationally, split between Regional Counter-
Terrorism Units (CTUs), Counter-Terrorism Intelligence Units (CTIUs) and ‘engagement
posts’ where members have been engaged in the development of the national CT network since
its inception in 2006/07. These substantial units are comprised of staff drawn from a number
of disciplines, including highly skilled detectives, community contact teams, financial
investigators, intelligence analysts and high-tech crime investigators (HM Government,
2014c). The CTUs are largely self-sufficient and can effectively co-ordinate routine enquiries
and operations without compromising the commitment of local forces to day-to-day policing
(HM Government, 2014c: 19). The CTIUs, while still substantial, are smaller in scale than the
CTUs and are focused upon the development of CT intelligence rather than the investigation
of offences. Where a terrorist-related incident or intelligence is identified within a CTIU area
the initial investigation is carried out by CTIU staff (HM Government, 2014c). Once the initial
intelligence gathering has reached a stage where there is sufficient evidence for action (such as
the arrest of a suspect), the investigation is then handed over to a specially trained CT
investigator (HM Government, 2014c: 19).
The Home Office makes grant funding available to all forces on an
annual basis. Allocation is based on advice from the National Counter-Terrorism Police
Headquarters (NCTPHQ),57 and the ring-fenced money goes to Police and Crime Commissions
56 A tier one risk is judged to be the highest priority for UK national security over the next five years, taking into
account both likelihood and impact (HM Government, 2014c: 37). 57 From 1 April 2014, the headquarters’ functions of the Association of Chief Police Officers Terrorism and Allied
Matters (ACPOTAM) have been performed by the National Counter Terrorism Police Headquarters (NCTPHQ)
(HM Government, 2014c).
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(PCC hereafter) specifically for CT purposes (HM Government, 2014c). There is a complex
administrative structure in place to deliver the CT grant to different locations across forces in
England and Wales.58 Moreover, the grant has 16 different budget lines and in 2012-2013
figures suggest government funding for CT policing was £573 million (House of Commons,
2014). Furthermore, in 2013/14, the total CT policing grant provided was £563m (HM
Government, 2014c). Lastly, the security and intelligence agencies receive a budget of £2.1
billion. In 2011-12, MI5 allocated 72% of its resources to international CT whereas MI6 and
GCHQ allocated roughly a third each of their budgets to international CT (House of Commons,
2014). Second in funding are local authorities and communities (provided by DCLG) and third
are Foreign and Commonwealth Office (FCO hereafter) overseas operations (Kuzmic, 2011).
2.3.3 PREVENT Policing: Three Phases of Development
Innes et al. (2011) have broadly defined three distinct phases for the development of PP. Phase
One entailed a traditional model of CT policing which was far more narrowly conceived and
placed more accent upon the need for ‘covert’ activity.59 In essence, PP was predicated upon a
clandestine threat-centric model60 (Innes et al., 2011). Phase Two involved a reconfiguration
of assets as part of the “refresh” of approach involved in CONTEST II. Whilst PREVENT staff
and units were altered, there was limited innovation in terms of how public‐facing services
were delivered. In effect, there was an increase in capacity but it was still lacking defined
PREVENT capabilities (Innes et al., 2011). Phase Three has entailed an entirely new overt
method of doing CT policing by mixing social interaction and police work to dissuade
suspected political extremists from participating in or supporting terrorist activities (Rikabi,
2013: iv). PP is now
conceptualised as a blended methodology integrating elements of traditional CT policing with
practices derived and distilled from and ‘Community Policing’ and ‘Neighbourhood Policing’
philosophies. Whilst Community Policing models are diverse, and thus not something that can
be easily defined (Spalek, 2009: 4a), Skogan and Hartnett (1997: 5) consider Community
Policing as comprising the following characteristics:
58 The distribution of £24 million for PP in 2010/11 is illustrated in Appendix A. Although such figures are now
outdated, the data provides perspective on the management of CT finances. 59 See Innes and Thiel (2008). 60 The principle focus of a threat-centric model is on intercepting and interdicting motivating offenders in a
comparatively low-visibility fashion (Innes et al., 2011).
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‘Community Policing relies upon organisational decentralisation and a reorientation of patrol in order
to facilitate two-way communication between police and the public. It assumes a commitment to
broadly focused, problem-oriented policing and requires that police be responsive to citizens’ demands
when they decide what local problems are and set their priorities. It also implies a commitment to
helping neighbourhoods solve crime problems on their own, through community organisations and
crime prevention programmes’.
Moreover, Rosenbaum (1988: 334) summarises the fundamentals of Community Policing as
‘an emphasis on improving the number and quality of police-citizen contacts, a broader
definition of ‘legitimate’ police work, decentralisation of the police bureaucracy, and a greater
emphasis on proactive problem-solving strategies’.
‘Neighbourhood Policing’ is also being explicitly linked to CT activities.
Neighbourhood Policing has been broadly defined as, ‘an organisational strategy that allows
the police, its partners and the public to work closely together to solve the problems of crime
and disorder, and to improve neighbourhood conditions and feelings of security’ (ACPO, 2006:
10). As Innes et al. (2011) observe, this connection to Neighbourhood Policing is important
because there is evidence that PREVENT work cannot be disconnected from more mainstream
policing concerns. For instance, it is argued that ‘personal relationships’ will constitute the
working capital for building trust and confidence in order to allow for community intelligence
to be passed to the police (Spalek, 2009). Moreover, police may operationalise ‘soft power’
through processes of persuasion, negotiation, and agenda setting, providing a far more subtle
mode of influence (Innes et al., 2006, as cited in Spalek, 2009a: 10). In essence, it is suggested
PP is enhanced and may even be dependent upon the efficacy of more routine policing services
(Innes et al., 2011). As the then director of ACPO, Sir Norman Bettison put it, “we will be
successful in PP only when it is mainstreamed into Neighbourhood Policing” (House of
Commons, 2012: 29; see also Bettison, 2009). Reflecting this genealogy,
PP is said to pivot around three main activities: (1) community engagement and community
intelligence generation; (2) identifying and mounting disruptions against presenting risks; and
(3) community impact management (Innes et al., 2011: 3). Moreover, Innes et al. (2011: 16)
further break down these activities into two distinct sets of actions: (i) general community level
interventions designed to inhibit and decay existing and potential social support for violent
extremist ideologies. Thus, PREVENT is as much concerned with the social environment in
which risks and threats are propagated, as with threats themselves. It seeks to address
vulnerabilities and enhance community resilience; (ii) nested within these community level
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interventions there is a more specific targeted focus upon preventing the radicalisation of
individuals and small groups. Set against this backdrop, research by
Innes et al. (2011: 90) identified that PP now typically takes place through four principal modes
of intervention (see Figure 2.3.1). These are:
• Protective – where the police own the intervention in terms of defining the
problem to be addressed and undertaking the response;
• Mobilisation – where the community engages in self-help behaviours to deal
with a perceived threat;
• Type 1 Co‐production – the orthodox notion of collaborative working
wherein the community seeks police involvement to tackle a problem;
• Type 2 Co‐production – involves the police utilising community based
informal social control resources to manage a problem.
Figure 2.3.1: PREVENT Policing Intervention Modes61
2.4 Counter-Radicalisation: Community Involvement
It is now accepted that PREVENT objectives are sought through a variety of local community
partnerships and across statutory bodies, as well as voluntary agencies and community groups
‘with police forces, local authorities and their partners working closely together to oversee and
deliver the project’ (DCLG, 2008b: 9). This is reflected in the range of government departments
and agencies that have developed PREVENT products and activity. This has included PVE
funding for Youth Offending Teams through the Youth Justice Board (YJB); DCSF toolkit on
extremism (‘Learning Together to be Safe’); and Department for Business, and continuing
Communities and Local Government (CLG) work, including the Community Leadership Fund
61 Innes et al. (2011: 39).
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and the Challenge and Innovation Fund. Furthermore, the important role played by radical
Islamist political groups in Further and Higher Education settings also led to a funding focus
on Universities and Colleges implementing ‘Innovation and Skills’ guidance on extremism
(DIUS, 2008). As well as this, PREVENT teams or posts have been established in almost all
governmental departments to develop supporting intelligence, analysis and information and to
improve strategic communications (HM Government, 2009b: 80). Moreover, as Kuzmic
(2011) observes, further projects have included road shows targeting extremism of charismatic
leaders to “community venues”, but also rather wider initiatives of schools’ twinning for
sharing views on extremism. Some funding has also gone directly to mosques, such as North
London Central Mosque, to counter the ideological legacy of imprisoned Abu Hamza 62
(DCLG, 2007b). Other projects, such as the Conviction film about Bristol bomb plotter Isa
Ibrahim, were funded directly by Home Office.63 The PVE agenda has also
sought community involvement through ‘civil society’ groups. 64 This is supported by
“National Indicator 35” which local authorities have to select as one of their “core priorities”.
National Indicator 35 requires local authorities to have: “understanding of, and engagement
with, Muslim communities”; “knowledge and understanding of the drivers and causes of
violent extremism and the PREVENT objectives”; “development of a risk-based preventing
violent extremism action plan, in support of delivery of the PREVENT objectives”; and to
demonstrate “effective oversight, delivery and evaluation of projects and actions” (DCLG,
2009). However, as a result of governmental pressure on local authorities under the Common
Spending Assessment to adopt ‘National Indicator 35’ (in order to develop ‘resilience to violent
extremism), some local authorities refused to adopt it initially, but all were required to report
on it to Government Offices (Thomas, 2012; see also LGA, 2008b). Although many local
authorities have remained deeply anxious about PVE (Turley, 2009), pressure from
government saw PVE continue to grow to the point where all local authorities with significant
Muslim communities were involved, although a number of Muslim community groups refused
to participate (House of Commons, 2010; see also Thomas, 2010: 448).
The diffusion of formal responsibilities for policy
62 Abu Hamza is a self-style preacher and radical cleric. Originally imprisoned for 7 years in 2007, in January
2015, Hamza was sentenced to life in prison on US terrorism conviction. 63 Conviction is the 20-minute film which aims to dissuade young people from extremist ideology through
negative example of Muslim convert Andrew Isa Ibrahim, who was imprisoned for planning a suicide attack in
Bristol. Conviction is also said to allow PREVENT partners to identify and understand vulnerabilities Ibrahim
presented as he was becoming radicalised. Of note, the movie was commissioned by the Avon and Somerset
Police. 64 For a breakdown of PREVENT activities, as supported by DCLG funding (2008), see Appendix B.
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implementation and service delivery outlined above can be framed relationally in terms of
‘harder’ and ‘softer’ strategies of CT engagement.65 Whilst the former may be understood as
policing and community intelligence generation, the latter includes the development of
dialogue, participation and community feedback between communities, state agencies and
voluntary organisations in a way that serves to increase the fragile battle for “hearts and minds”.
Consequently, there has been a consistent and conscious effort to balance the predominately
hard powers associated with PURSUE and soft powers used in PREVENT activities. This
effort is reflected in the statement, ‘…we have to manage the negative impact that PURSUE
activity can have on communities and therefore our PREVENT agenda; but PURSUE
operations are also necessary to support our PREVENT objectives ... and PREVENT
interventions need to be considered for PURSUE type problems’ (HM Government, 2009b:
80). The importance accorded to a balanced approach is also reiterated in the NSS, which states
the need to ‘respond robustly whilst resisting the provocation to over-react’ (HM Government,
2009a: 86; Cabinet Office, 2008b: 28).
Balancing soft power mechanics whilst simultaneously resisting the urge to
“over-react” is undoubtedly a difficult undertaking (Weeks, 2013). At present there is no
publically available document that measures the effectiveness of the balance of power, or
overall effectiveness of PREVENT for that matter, within the CONTEST strategy. This is
despite the introduction of the Public Service Agreement 26 (PSA 26) (HM Government,
2009a: 86). PSA 26 embodies the same stated goal as CONTEST 2009, ‘...to reduce the risk to
the UK and its interests overseas from international terrorism’ (HM Government, 2009b: 158)
and is supposed to measure progress across three outcomes: ‘…building resilience in domestic
communities; counter-radicalisation work in key domestic sectors and services; and
interventions in overseas priority countries’ (HM Government, 2009a: 86). However, as Weeks
(2013: 119) points out, how assessments will occur, how frequently they will occur, or even
what the metrics for assessment is remains, at the time of writing, unclear. Thus, inevitably,
PREVENT has been the subject of fervent criticism both operationally and ideologically.
2.5 PREVENT: A Failing Policy
65 For examples of ‘softer strategies’, as delivered by local authorities via DCLG funding (2009-2011), see
Appendix C.
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Although PREVENT was significantly developed from 2007-2010, it was still considered
incomplete. Notable criticism came from the Communities and Local Government select
committee (House of Commons, 2010), as well as from former head of the Metropolitan
Police’s Muslim Contact Unit, Robert Lambert. A coalition in the House of Commons began
reviewing the programme in 2010, particularly in relation to its alleged exclusive attention to
Islamist terrorism. Far from pursuing a macro socio-political strategy aimed at winning “hearts
and minds”, PVE’s mono-cultural focus on Muslims was said to be in stark contradiction to
the overriding policy goal of community cohesion (Thomas, 2010). 66 Subsequently, the
problematic design of PVE had left progress hobbled by institutional tensions at both local and
national level (Thomas, 2010). For instance, at the level of local state, the House of Commons
criticised the goals of PREVENT on the basis that British Muslims had been unaware of
extremism in their communities. Moreover, it was posited that individuals could not be certain
that information routinely gathered as part of one process would not end up being utilised for
exactly such counter-terrorist activity (see Kundnani, 2009). At national level, it was suggested
government relations with Muslims may have worsened; a situation exacerbated by the growth
in state surveillance of Muslim communities and an “unhealthy conflation” of policing (House
of Commons, 2012: 3). Regrettably, PREVENT became increasingly viewed as a political
shibboleth (Kundnani, 2009). The year-long Parliamentary review into the
auspices of PREVENT also found significant gaps in the United Kingdom’s domestic terrorism
policy. For instance, although the 2009 CONTEST strategy states that the major terrorist threats
come primarily from four sources, it also states that the strategy contains ‘programmes’
relevant for tackling terrorist threats from any quarter (HM Government, 2009a: 11). However,
the intent of this statement is somewhat contradictory given that a later statement in the same
report states: ‘this strategy does not address the threat from domestic extremism’ (such as from
animal rights)67 (HM Government, 2009a: 59). Moreover, whilst the focus upon far-right
extremism has widened since the implementation of CONTEST II, it remains problematic. For
example, there was no threat level for terrorist threats outside of those related to AQ or
Northern Ireland, which demonstrated the minimal scope of the government’s terrorist
prevention strategy. Furthermore, it was argued that far-right wing extremist organisations
went unchecked because the criteria for determining terrorist organisations required them to
66 Introducing PVE, the government acknowledged, ‘there has always been a tiny minority who oppose tolerance
and diversity’ (DCLG, 2007b: 2). However, the same document also stated that ‘the key measure of success will
be demonstrable changes in attitudes among Muslims’ (DCLG, 2007b: 7; see also Thomas, 2010: 7). 67 For a detailed analysis on animal rights and the question of terrorism, see Hadley (2009).
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support other like-minded groups internationally (Rikabi, 2013). In response, the UK
government stressed that only 17 people associated with far-right extremism were currently
serving a sentence in Britain and thus, far-right extremism was considered far less serious a
threat than that of AQ or similar Islamist terrorist groups. 68 However, the review into
PREVENT also found that a majority (80 per cent) of respondents in the consultation believed
that PREVENT should address the wider problems of far-right extremism (Awan and
Blakemore, 2013; see also HM Government, 2011b). Whilst the UK government has
recognised the threat posed by Islamist terrorist groups and as such banned certain groups
which promote violence, critics argue similar far-right groups like the English Defence League
(EDL) remain operational (the main difference between these groups being the ideologies and
motives). For example, the Terrorism ACT 2000 created measures that meant certain
international terrorist groups would not be able to operate in the UK (Home Office 2011, as
cited in Awan and Blakemore, 2013: 11).
The Home Office review also argued that the
PREVENT policy of the previous Labour Government had ‘not clearly recognised the way in
which some terrorist ideologies draw on and make use of extremist ideas which are espoused
and circulated by apparently non-violent organisations, very often operating within the law’
(HM Government, 2011b: 50). The proposal for a commitment to challenging not just “violent
extremism” but “extremism” in general can, under The Terrorism Act 2006, be seen as a
response to public criticism(s). For example, the criteria determining who was entitled to access
funding was considered too loose so that groups that were “extremist”, but not engaged in
criminal violence, could get funding (Kundnani, 2009: 20):69
‘The PREVENT programme we inherited from the last Government failed to confront the extremist
ideology at the heart of the threat we face; and in trying to reach those at risk of radicalisation, funding
sometimes even reached the very extremist organisations that PREVENT should have been confronting’
(HM Government, 2011b: 1).70
Moreover, much of the funded work was of little relevance to actually reducing the risk of
extremism, since ‘PREVENT had not consistently reached the few people who are most
68 It could be argued this area of CT is still to be fully addressed (see Awan and Blakemore, 2013). 69 It is argued that many projects have been manipulated by community organisations. For example, Choudhury
talks about “PREVENT entrepreneurs” (Choudhury, 2012: 56-57; see also Kuzmic, 2011: 13). 70 Derrida’s notion of “autoimmunity” is instructive in relation to this particular flaw in PREVENT. As Derrida
(2003: 99-100) notes, an autoimmune crisis ‘ends up producing, reproducing, and regenerating the very thing it
seeks to disarm’.
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susceptible to terrorist propaganda’ (HM Government, 2011b: 7).
Ostensibly, there was also proposals for major renegotiation of PREVENT
implementation and responsibilities regarding the intention to ensure the removal of
communities’ work from the PREVENT agenda (Martin, 2014a). In the SDSR published in
October 2010, a central concern regarding CONTEST II was the need to reform the counter-
radicalisation work stream, specifically through ‘separating it much more clearly than before
from general communities’ policy’ (Cabinet Office, 2010: 42; see also House of Commons,
2010). Whereas much of the original PREVENT work, including its focus on shared values
and cohesion, had been implemented through the Home Office, it is now stated that the Home
Office would lead on protecting those individuals most at risk from violent extremist influences
(HM Government, 2011b). In contrast, the DCLG would be tasked with focussing solely on
community cohesion and ethnic integration thus enabling local communities to be able to
challenge extremists seeking to undermine ‘our way of life’ (DCLG, 2007a: 4; HM
Government 2011b: 6).
Lastly, it was argued PREVENT nearly ignored any terrorist organisations that held
their conduct on the Internet (see House of Commons, 2010; cf., HM Government, 2013b).
Moreover, the 2007 discovery of unexploded car bombs in London and the 2007 Glasgow
airport attack also highlighted the unreliability of CT to prevent attacks (Fisher, 2012). Given
these criticisms, the UK government conceded that PREVENT was confused in its delivery of
government policy to promote integration whilst simultaneously preventing terrorism.
Subsequently, a new policy was released in 2011 allowing the coalition government the
opportunity to initiate a new era of CT policy.
2.6 PREVENT 2011: New Government, New Objectives
In June 2011, a revised PREVENT strategy was released for public view having undergone a
year-long parliamentary review.71 It is now accepted that the PREVENT strategy, as pursued
by the DCLG (and defined by CONTEST II) is concerned with five strands (Meer, 2012: 12)
– each conceived as prophylactic factors for people becoming or supporting terrorists or violent
extremists. These are:
71 Specific aims of the review are outlined in HM Government (2011b).
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(1) Challenging violent extremist ideology and supporting mainstream
voices;
(2) Disrupting those who promote violent extremism and supporting the
otherwise peaceful institutions where they are active;
(3) Supporting individuals who are being targeted and recruited to the
cause of violent extremism;
(4) Increasing the resilience of communities to violent extremism;
(5) Addressing the grievances that ideologues are exploiting.72
These principles are supported by two ‘strategic enablers’: (i) developing understanding,
analysis and information; and (ii) strategic communications (Turley, 2009: 6). In practice,
working towards these objectives pivots around three main types of activity:
• Counter-radicalisation – focuses upon inhibiting the spread and influence
of extremist ideas both generally and in specific cases;
• De-radicalisation – involves acts to reduce the influence of extremist ideas
where they have gained traction;
• Community cohesion building – is focused upon increasing the resilience
of communities so that they are less likely to be influenced by extremist
views.73
Within this overall framework, the new PREVENT strategy is aligned around three specific
objectives (now referred to as the three I’s: individuals, ideology, and institutions):
• Respond to the ideological challenge of terrorism and aspects of extremism,
and the threat we face from those who promote these views;
• Provide practical help to prevent individuals from being drawn into
terrorism and ensure that they are given appropriate advice and support;
72 HM Government (2011b). 73 Innes et al. (2011: 6).
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• Work with a wide range of sectors/institutions (including education,
criminal justice, faith, charities, the internet and health) where there are risks
of radicalisation or which support counter-radicalisation work.74
It is suggested that working with key sectors ensures that there is ‘an awareness and
understanding of the risks of radicalisation and of how radicalises work and that each sector is
capable of developing an effective response’ (HM Government, 2011b: 63, [Figure 102]). As
the PREVENT strategy makes clear:
‘Wherever possible, the partnership should comprise social services, policing, children’s services, youth
services, UKBA, representatives from further and higher education, probation services, schools, local
prisons, health and others as required by local need. We encourage greater levels of partnership working
between local authorities and partners in future’ (HM Government, 2011b: 97 [Figure 11.12]).
Importantly, in its
revised version, PREVENT challenges extremist (non-violent) ideas that are part of the terrorist
ideology whilst remaining committed to protecting freedom of speech (HM Government,
2011b: 6).75 However, championing British democratic values76 does not disappear. As the
PREVENT strategy makes clear, ‘work to deal with radicalisation will depend on developing
a sense of belonging to this country and support for our core values’ (HM Government, 2011b:
5 [Figure 3.6]). Moreover, an emphasis on the lack of resilience in certain places and
communities, which is said to allow the flourishing of apologists for violence, is also retained
in the revised strategy. As the PREVENT policy outlines, ‘a stronger sense of belonging and
citizenship makes communities more resilient to terrorist ideology and propagandists. We
believe that PREVENT depends on integration, democratic participation and a strong interfaith
dialogue’ (HM Government, 2011b: 28). The concept of ‘identity’/‘values-
based tone’ (Thomas, 2012) also remains central to the reformatted PREVENT. As the strategy
states, ‘some recent academic work suggests that radicalisation occurs as people search for
identity, meaning and community. We note that organisations working on PREVENT have
74 HM Government (2011b: 7; HM Government, 2012a: 21). 75 Protecting the right to freedom of expression is also reiterated in the Home Office report Tackling Extremism
in the UK (HM Government, 2013b). 76 Promoting British values is also heavily embedded within government policy discussion on education. See HM
Government (2011b: 69 and 2012a: 21).
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also found evidence to support the theory that identity and community are essential factors in
radicalisation’ (HM Government, 2011b: 17). Moreover, the PREVENT strategy adds:
‘Social movement and social network theory emphasise that radicalisation is a social process
particularly prevalent in small groups. Radicalisation is about ‘who you know’. Group bonding, peer
pressure and indoctrination are necessary to encourage the view that violence is a legitimate response
to perceived injustice. We have also seen evidence to support this theory from classified government
reporting’ (HM Government, 2011b: 17).
Furthermore, with regard to the key drivers of radicalisation, the strategy suggests, ‘people who
distrust Parliament, who believe that ethnic and faith cultural groups should not mix, and who
see a conflict between being British and their own cultural identity are all likely to be more
supportive of violent extremism’ (HM Government, 2011b: 18 [Figure 5.26]).77
Interestingly, promoting British values is also embedded within the definition of
‘extremism’, defined as ‘vocal or active opposition to fundamental British values, including
democracy, the rule of law, individual liberty and mutual respect and tolerance of different
faiths and beliefs’ (HM Government, 2013b: 2). Of note, the definition of extremism has been
expanded to include ‘calls for the death of members of our armed forces, whether in this
country or overseas’ (HM Government, 2013b: 2) - this most likely influenced by the murder
of Drummer Lee Rigby in Woolwich, London, in 2013.
2.7 PREVENT(ion) through Risk
What is particularly apposite is the centrality of the word risk within the revised PREVENT
policy. Indeed, the word ‘risk’ appears 105 times (see HM Government, 2011b). It is now
accepted that PREVENT is presented as acting upon the risk of terrorism and is understood to
address ‘radicalisation’ in the face of the ‘greatest risk to our security’ (HM Government, 2011:
59). Moreover, although PREVENT is a national programme, under the revised strategy, it is
said to be prioritised at local level according to risk assessment. As the PREVENT strategy
states, ‘all communities are affected by the threat from terrorism but the nature and extent of
the threat will vary across the country; local responses need to be appropriate to local
circumstances’ (HM Government, 2012d: 5). In part, this is result of the government’s
77 Other key drivers include: racial or religious harassment; a negative view of policing; and perceptions of
discrimination (HM Government, 2011b: 18, [Figure 5.26]).
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“commitment to localism” more generally (HM Government, 2011b: 6). The
PREVENT review of June 2011 also significantly altered the size and approach of PREVENT
(Thomas, 2014). Funding was restricted to 25 priority areas on an ‘intelligence-led basis’ and
the sole, securitised control of the OSCT meant that local autonomy over PREVENT activity
is significantly restricted (Thomas, 2014). As the PREVENT strategy makes clear, ‘funding
will be made available by the Home Office to the 25 priority areas for project work on a grant
basis and for activities which address specific local risks and are designed to establish specific
PREVENT benefits’ (HM Government, 2011b: 98, 34). Moreover, the OSCT manages a
network of up to 25 PREVENT co-ordinators within local authorities in defined priority areas.
These people ensure smooth delivery of the policies by co-ordinating their: (1) police element;
(2) local authorities; and (3) community partners (Kuzmic, 2011).78 In essence, PREVENT is
now centred on ‘hotspots’ of potential radicalisation, with local co-ordinators (funded by the
Home Office) tasked with directing local PREVENT-funded activity (Thomas, 2012).
An intelligence approach according to risk(s) can be read as conscious
effort to distance PREVENT activity centred on community demographics (HM Government,
2011: 11). For 2011/12, following an analysis of all local authority areas across the UK, the 25
priority areas are as follows:
• Barking and Dagenham • Birmingham • Blackburn with Darwen • Bradford • Brent • Camden
• Derby • Ealing • Hackney • Hammersmith and Fulham • Haringey • Kensington and Chelsea
• Lambeth • Leeds • Leicester • Lewisham • Luton • Manchester • Newham • Redbridge •
Stoke-on-Trent • Tower Hamlets • Waltham Forest • Wandsworth • Westminster (HM
Government, 2011b).79
Of note, the PREVENT strategy also states, ‘we expect these areas to change over time’ (HM
Government, 2011b: 95). As of 2013, 6 further areas have been added as ‘priority’. These are
Cardiff; Enfield; Greenwich; High Wycombe; Islington; and Liverpool. Moreover, as of 2014,
78 Although the strategy was put together by OSCT, it captures the contributions of a broad range of governmental
departments and agencies. For example, in 2011 figures show PREVENT had around 44,000 participants and
funded 261 social integration projects (HM Government 2011b: 28, as cited Rikabi, 2013: 26). Three departments
direct most of the policies anchored in the strategy: the Home Office, the DCLG and the FCO (HM Government
2011b: 11). These departments provide funding and have their own offices for particular policies. The Department
for Education (DfE) and Ministry of Justice (MoJ) also play smaller part. However, this set up has been criticised
as departmental fragmentation supposedly leads to “competition for PREVENT pie” (Choudhury, 2012: 49). 79 See Appendix D.
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5 further areas have been identified as ‘supported areas’. These include Slough; Sandwell;
Dudley; Walsall; and Kirklees.
There has also been a critical discursive shift towards understanding risk though
a language of “vulnerability”, commonplace in the 2009 strategy and ubiquitous in the 2011
revision (Martin, 2014b: 6). In the second version of CONTEST, the words ‘vulnerable’ and
‘vulnerability’ (to describe those individuals vulnerable to ‘violent extremism’) were used no
less than 32 times (Richards, 2012: 23). In the latest CONTEST strategy, this figure fell to 24
but the updated PREVENT strategy used the words vulnerable, vulnerability or vulnerabilities
in this context a total of 75 times (Richards, 2012: 23). Thus, while narratives of grievance do
not disappear, in the revised version, there is a more explicit focus on the individual through
the language of vulnerability. Accordingly, the subject of radicalisation becomes the individual
who is “vulnerable to radicalisation”, “vulnerable to recruitment”, and “vulnerable to violent
extremist messaging” (HM Government, 2011b: 83). As the PREVENT strategy outlines, ‘we
judge that radicalisation is driven by personal vulnerabilities and specific local factors which,
for a range of reasons, makes that ideology both attractive and compelling’ (HM Government,
2011b: 5). The PREVENT strategy also adds, ‘we judge that communities who do not (or,
alternatively, cannot) participate in all civic society are more likely to be vulnerable to
radicalisation by all kinds of terrorist groups (HM Government, 2011b: 27, [Figure 6.20]).
Moreover, psycho-cultural understandings of radicalisation are retained in the latest
PREVENT strategy which outlines that a key driver of radicalisation is about “who you
know”80 (Government, 2011b: 17 [Figure 5.23]). In the revised
policy, it is suggested vulnerability indicators not only have to be local in nature but also
proportionate to local levels of risk. The ACPO (2008) implementation plan states:
‘It is important that the local response to PREVENT is proportionate to the level of risk and vulnerability
in the area, as determined by risk assessment ... delivery is likely to be more intense and comprehensive
in those areas where risk and vulnerability is considered to be greatest’ (ACPO, 2008: 4, as cited in
Innes et al., 2011: 72).
The construction of judgements about relative risks and vulnerability is said to be grounded in
the ‘richer picture’ process with such information contributing to the production of a ‘Counter‐
Terrorism Local Profile’ (CTLP hereafter) (Innes et al., 2011: 72). Developed and introduced
80 For a detailed analysis of psycho-cultural theories of radicalisation, see Horgan’s (2008) “bunch of guys”
analysis.
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in 2009, CTLPs are documents to be shared between key actors involved in delivering
PREVENT. In brief, a CTLP is ‘a report that outlines the threat and vulnerability from
terrorism-related activity within a specific area (e.g. police Basic Command Unit (BCU)/Local
Policing Unit [LPU], local authority area or force)’ (HM Government, 2013: 3). Furthermore,
the HM Government (2012b: 3) report outlines, ‘an essential part of engaging partners in
PREVENT is making relevant information available to them to help them target activities and
resources as effectively as possible’. Moreover, the most updated CONTEST review adds, ‘we
continue to share with local authorities the CTLP, a summary of available information about
terrorism and extremism in a specific area’ (HM Government, 2013: 21).81 It is
posited that CTLPs help to achieve a ‘richer picture’ by outlining the threat, vulnerability and
risk from extremist activity relating to terrorism within a specific area, thus providing partners
with a practical and consistent approach to sharing CT-related information (HM Government,
2012b). Specifically, the aims of a CTLP are to: (1) develop a joint understanding amongst
local partners of the threats, vulnerabilities and risks relating to terrorism and non-violent
extremism where it creates an environment conducive to terrorism; (2) provide information on
which to base local PREVENT programmes and action plans; (3) support the mainstreaming
of PREVENT activity into day-to-day policing, local government and partnership work; and
(4) allow a targeted and proportionate use of shared resources (HM Government, 2012b: 7).
Furthermore, detailed guidance about how to construct a CTLP has been issued to local forces
and partners (Innes et al., 2011). Accordingly, local authorities and the police are responsible
for ensuring that the local partnership action plan: (1) addresses the main objectives of the
PREVENT strategy; (2) is jointly agreed and managed by the police, local authority and other
partners; (3) is proportionate to the level of threat in the area; (4) reflects local needs; (5) sets
out clear and tangible milestones in tracking progress and sets a process out for evaluation; and
(6) is fed back into ACPO’s (TAM) Prevent Performance Framework in order to demonstrate
progress against priority issues (HM Government, 2012b: 22). Of note, whilst CTLPs assist
local policing bodies specifically in ‘focusing on key risk areas in relation to PREVENT (and
other areas of CONTEST)’ (HM Government, 2012b: 13), it is suggested that a CTLP does not
provide a complete assessment of activity in an area. Rather, Home Office policy recommends
81 Further decentralisation has also taken place resulting in a major change in the local CT landscape. Since 2012,
the elected PCCs plan local PREVENT strategies while the Chief Constables remain independent. CT is thus
becoming increasingly localised and employs more elements of “stakeholder security” (Jarvis and Lister, 2010).
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that CTLPs are read in conjunction with other available information to produce a more
complete overview of the risks in an area (HM Government, 2012b: 7).
2.8 The CHANNEL Programme
‘Risk is a theme that runs through the entire CHANNEL process: risk to the individual; risk to the
public; and risk to statutory partners and any intervention providers’ (HM Government, 2012d).
In 2007, APCO launched an extension of PREVENT known as the CHANNEL programme.
CHANNEL is the core instrument of the second objective of PREVENT, protecting and
supporting vulnerable individuals who are exhibiting radicalised behaviour, by working in
partnership with communities and key partners to reduce or manage risk (HM Government,
2011b). Funded through the OSCT,82 CHANNEL relies on co-ordinated activity at local level
and uses existing collaborations between local authorities, the police, statutory partners
(including the education sector, social services, children’s youth services and offender
management services) and the local community (HM Government, 2012d: 7). Furthermore,
official language describes CHANNEL as ‘a multi-agency programme to identify and provide
support to people at risk of radicalisation’ (HM Government, 2011b: 55).
In its policy formation, CHANNEL provides a focus for public sector professionals and
members of the community to refer individuals of concern to a multi-agency risk assessment
and case management system bringing to bear a variety of resources and expertise to counter-
radicalisation (HM Government 2009a: 136; see also HM Government 2009b: 11-12). After
an initial referral, risk assessments are made on each individual case and a programme of
‘intervention’ is tailored to suit the individual’s needs (HM Government 2009a, 172–173, 150).
Moreover, CHANNEL is modelled on other successful multi-agency risk management
processes, such as child protection, domestic violence and the management of high risk
offenders; it uses processes which also safeguard people at risk from crime, drugs or gangs
(HM Government, 2011b: 57). At the time of writing,
CHANNEL covers 75 local authorities and 12 police forces (HM Government, 2011b: 57).
Furthermore, as CHANNEL processes have matured, the number of CHANNEL referrals
nationally has increased and now stands at a total figure of 3934 referrals (ACPO, 2014; see
Figure 2.8).
82 The total funding for CHANNEL for the period April 2007 to March 2011 was approximately £4.7 million
(HM Government, 2011b: 60). There is no data entry for the period 2011-2015.
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Year CHANNEL Referrals
2007-2008 5
2008-2009 75
2009-2010 179
2010-2011 467
2011-2012 599
2012-2013 748
2013-2014 1281
2014-2015 No data
Figure 2.8: National ACPO Statistics for CHANNEL Referrals 2006-201483
Not all individuals referred will be assessed as being vulnerable to being drawn into
violent extremism, or in need of support from CHANNEL. Out of 3934 referrals, some 777 (20
per cent of referrals) were assessed by a multi-agency panel to be vulnerable to being attracted
towards terrorism and will have gone on to receive support through the CHANNEL process
(ACPO, 2014; see also HM Government, 2012d). Furthermore, whilst CHANNEL supports
vulnerable individuals of any age, figures indicate an emphasis on supporting impressionable
young people. For instance, between April 2007 and the end of March 2014, CHANNEL
received 1450 referrals that were under the age of 18 at the time they were referred (ACPO,
2014).84 However, ACPO (2014) also note that many of these individuals would not have been
suitable for CHANNEL intervention and thus would have been sign-posted to more appropriate
services. This observation is reiterated in the PREVENT strategy which states, ‘the referral
process can, if poorly handled, include people who are not at risk of radicalisation’ (HM
Government, 2011b: 56). There is a practitioner
responsible for co-ordinating delivery of CHANNEL in all areas. In addition, a CHANNEL
project requires a multi-agency panel and information sharing protocols (HM Government,
2012d: 7). Thus, some areas have a dedicated police CHANNEL co-ordinator who establishes
and maintains a panel, which may include members of local authorities, social workers, schools
83 ACPO (2013b, 2014). 84 These figures have been drawn from police forces by the Association of Chief Police Officers (ACPO) who is
responsible for collating information on CHANNEL at national level. Recording standards have varied over time
and across forces, so aggregated data may not be internally consistent and there is some evidence of imperfect
data entry (ACPO, 2014).
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and universities or people from local community85 (HM Government, 2011b: 55). In other
areas, this role is carried out by a police officer or member of staff as part of an individual’s
responsibilities, for example, by a PREVENT Engagement Officer (PEO) or Single Point of
Contact (SPOC) within the police force. It is suggested PEOs and SPOCs have access to the
support and expertise of the CHANNEL co-ordinators within their region (HM Government,
2012d: 7). Further, the role of the multi-agency panel is to develop an appropriate support
package to safeguard those at risk of being drawn into terrorism based on an assessment of
their vulnerability (HM Government, 2012d). The panel is thus responsible for managing the
safeguarding risk, which is in line with other multi-agency panels where risk is managed, such
as Children and Adult Safeguarding panels and Multi-Agency Public Protection Arrangements
(MAPPA) (HM Government, 2012d).
The CHANNEL process begins through a referral of the “vulnerable
individual” made by “referral partner” (teachers, social and youth workers, etc.)86 McGready
(2011) suggests vulnerability indicators can be broken down into ‘expressed opinions’,
‘material indicators’, ‘behaviour and behavioural changes’, and ‘personal history’. A snapshot
of vulnerability indictors is reproduced in Figure 2.8.1.
85 These are closely aligned to the PREVENT priority areas. 86 Appendix E outlines the CHANNEL Model Scheme, as described in HM Government (2012d: 15).
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Figure 2.8.1: Examples of Vulnerability Indicators (as cited in McGready, 2011).
After the initial screening for appropriateness, a preliminary assessment is led by the
CHANNEL police practitioner and will include their line manager and, if appropriate, senior
statutory partners (such as the local authority, the police, Probation Trusts, children’s and youth
services and the education sector). The most recent guidelines published lists 22 “vulnerability
factors” (referred to as ERG22 or “Extreme Risk Guidance 22”), broken down into three
dimensions, which include:
• Engagement with a group, cause or ideology;
• Intent to cause harm; and
• Capability to cause harm (HM Government, 2012d: 11).
Snapshots of the three dimensions for radicalisation are reproduced in Figure 2.8.2; Figure
2.8.3; and Figure 2.8.4 (taken from HM Government, 2012c).
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Figure 2.8.2: Psychological Hooks
Figure 2.8.3: Intent Factors
Figure 2.8.4: Capability Factors
It is suggested these three dimensions also help to inform whether support is needed and what
form support will take. It is also envisaged that through tracking these factors, the individual’s
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progress can be charted. At this point partners should collectively assess the risk and decide
whether the person: (1) is vulnerable to being drawn into terrorism and therefore appropriate
for CHANNEL; (2) should be referred to a different support mechanism; or (3) should exit the
process (see HM Government, 2012c). Moreover, in assessing risk, it is suggested that due
consideration should be given to: (i) the risk the individual faces of being drawn into terrorism;
and (ii) the risk the individual poses to society (HM Government, 2012c).
2.9 Conclusion
This chapter has outlined the origins, assumptions and content of PREVENT, as part of
CONTEST, since its policy inception in 2006. In doing so, this chapter has detailed the key
modifications made to PREVENT by both Labour and Conservative-Liberal Democrat
coalition governments. Several significant areas have been explored as linked to the operations
of PREVENT, such as PREVENT funding structure; the diffusion of PREVENT
responsibilities through community involvement; and the development of PREVENT policing.
Further, whilst PREVENT remains a model from which most European governments have
taken inspiration (Vidino and Brandon, 2012: 164), it is also important to acknowledge the
rather clumsy and contradictory implementation of PREVENT pre-2011. Thus, this chapter
has also engaged with several of the fervent criticisms and concerns expressed over PREVENT
as a policy. This chapter has also
explored how ‘radicalisation’ has been made possible as a discourse - one that enables the
performance of security around it (Heath-Kelly, 2013). Theoretically, this allows practitioners
tasked with counter-radicalisation to act upon futurity through the concept of ‘vulnerability’ as
linked to risk. Whilst the aim of this chapter has been one of making sense of this particularly
complex policy, PREVENT (or more specifically PP) provides a blueprint to explore the
empirical actualities of two risk positions at local level. The concern of the thesis now turns
towards each risk position beginning with Michel Foucault’s securite de dispositif, as borne
through the concept of ‘governmentality’.
Chapter 3
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Dispositif, Governmentality and Risk
3.1 Introduction
This chapter engages with the turn to risk management and measurement as practices of
governing in line with Foucauldian thought. While the univocal logic of ‘risk society’ tends to
take a weak social constructionist approach to incalculable risk in concert with a critical
structuralist perspective, advocates of Foucauldian approaches mostly adopt a ‘strong’ version
of social constructionism and a post-structuralist approach to power relations (Lupton, 1999:
84). Importantly, such analyses posit the diversity of risk practices can be understood as a
deployment of a governmental dispositif (or securite de dispositif as it is originally referred) to
govern social problems (Aradau and van Munster, 2007). The first part of the chapter discusses
Foucault’s original concept of dispositif including dispositif as ‘apparatus’, dispositif power as
a ‘network’, and dispositif as ‘productive’. As a caveat, the concept of risk is not discussed
within this part of the chapter since Foucault did not put risk at the heart of his notion of
dispositif. Following this, Foucault’s concept of governmentality is explored including
governmentality read as ‘population’, ‘subjectification’, ‘circulation’, and ‘milieu’.
The second
half of the chapter engages with literature that spans the pervasive idiom of exceptionalism; a
revised calculus of risk that hyper-extends to ‘precautionary’ measures within risk rationality;
and the subsequent modification of sovereignty.87 Specifically, the chapter explores exegeses
of Foucault’s notion of dispositif under the logic of dispositif ‘precautionary risk’ that is
deployed at the horizon of catastrophic future and radical uncertainty (see Aradau and van
Munster, 2007, 2008a and b). Accordingly, this chapter draws attention to how the
identification and management of risk is said to be a way of organising reality, taming the
future, disciplining chance and rationalising individual conduct (Aradau and van Munster,
2008b: 26; Hacking 1990). Moreover, the chapter highlights how pre-emptive strategies are
said to be wedded to a creeping shift in risk assessment from retrospective estimations of harm
to an outlook based on futurity (Mythen and Walklate, 2008: 221). This shift to a ‘state of pre-
emption’ (Ericson, 2008) ushers in a number of dilemmas around the political deployment of
discourses of risk (Mythen and Walklate, 2008: 221). As a final caveat, whilst security studies
have been profoundly interested in the changing practices of surveillance post-9/11 and 7/7, it
87 See Dean (2010) for a similar analysis of such trajectories.
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is not surveillance per se that concern the contributions of the latter half of the chapter, but risk
as a technology of preventative practice and pre-emptive imagining (cf., Amoore and de Goede,
2005; Lyon, 2003).
3.2 Securite de Dispositif: ‘Apparatus’
In an interview with philosopher Roger-Pol Droit in 1975, Michel Foucault outlined a key
concept to use in order to grasp the power of play (Cote, 2007: 9).88 Here, Foucault cites an
exceptionally detailed definition of the dispositif, one that translates as ‘apparatus’:
‘What I'm trying to pick out with this term is, firstly, a thoroughly heterogeneous ensemble of
discourses, institutions, architectural forms, regulatory decisions, laws, administrative measures,
scientific statements, philosophical, moral and philanthropic propositions - in short, the said as much
as the unsaid. Such are the elements of the apparatus. The apparatus itself is the system of relations that
can be established between these elements. Secondly, what I am trying to identify in this apparatus is
precisely the nature of the connection that can exist between these heterogeneous elements. Thus, a
particular discourse can figure at one time as a programme of an institution, and at another it can
function as a means of justifying or masking a practice which itself remains silent, or as a secondary
reinterpretation of this practice, opening out for it a new field of rationality. In short, between these
elements, whether discursive or non-discursive, there is a sort of interplay of shifts of positions and
modifications of function which can also vary very widely. Thirdly, I understand by the term ‘apparatus’
a sort of - shall we say - formation which has as its major function at a given historical moment that of
responding to an urgent need’ (Foucault, 1980b: 194-195; cf., Foucault, 1980a).
Theorists drawing upon Foucault have used various terms to refer to the way in which
heterogeneous elements are assembled to address an “urgent need” and invested with strategic
purpose (Foucault 1980a: 194).89 These include apparatus, deployment, mechanism, construct,
alignment, technology of government, regime of practices, assemblage, positivities, etc.
However, following Agamben’s (2009) reading of dispositif, I simply wish to differentiate
dispositif from apparatus, noting that for Foucault the latter is contained in the former. As
Foucault notes, ‘the apparatus itself is the network that can be established between these
elements ... By the term ‘apparatus’ I mean a kind of formation, so to speak, that at a given
88 As well as drawing upon the work of Foucault, I have also drawn generously from Agamben (2009), Cote
(2007) and Deleuze (1992), given their exceptionally detailed reading(s) of Foucault’s concept of ‘dispositif’. 89 See also Dean (1999: 21); Rose (1999: 52).
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historical moment has as its major function the response to an urgency’ (Foucault, 1980a: 194).
Borrowing
the term “positivity” from Hegel90 (which he later applies under the guise of apparatus),
Foucault takes a position with respect to a decisive problem: the relation between individuals
as living beings and the historical element (Agamben, 2009: 4). In this sense, the “historical
element” constitutes the set of institutions, of processes of subjectification, and of rules in
which power relations become concrete (Agamben, 2009). Thus, as Agamben (2009: 4)
observes, Foucault’s ultimate aim is not the reconciliation of the two elements; it is not even to
emphasise their conflict. For Foucault, what is at stake is rather the investigation of concrete
modes in which the positivities (or the apparatuses) act within the relations, mechanisms, and
“plays” of power (Agamben, 2009: 4). To put it differently, the emphasis here lies not simply
on the collection of elements per se (the purpose) but also on the system of relations established
between the elements (Deleuze, 1992). The relationship between
the elements can be conceptualised in relations of knowledge (discourse), 91 power, and
subjectivity (Brigg, 2001: 3). However, as Deleuze (1992: 159) notes, for Foucault,
‘knowledge, power and subjectivity are a series of variables which supplant one another’. In
other words, Foucault assumes that ‘power produces knowledge’ and they directly imply one
another (Foucault, 1977: 27). Thus, Foucault directs his attention to understanding how the
exercise of control in a society and its history disguises, rarefies and wraps itself systematically
in a language of truth, discipline, rationality and knowledge (Perezalonso, 2009). Foucault is
interested in solving this problem:
‘Relations of power cannot themselves be established, consolidated nor implemented without the
production, accumulation, circulation and functioning of a discourse. We are subjected to the production
of truth through power and we cannot exercise power except through the production of truth’ (Foucault,
1980b: 93).
By Foucault’s own admission, understanding the precise nature of the interconnection
between the heterogeneous elements is no easy task: ‘it is like a game, the changing of
positions, the modifications of function, which can also vary widely’ (Foucault, 2001: 299, as
90 Although Foucault borrowed the term from Hegel, Hegel is indebted to the teachings of Jean Hyppolite for the
concept of “positivities”. 91 As Ditrych (2013: 2) observes, discourse is understood as including ‘a specific collection of statements for
which certain conditions of existence can be defined, and a system of their formation determining what can be
said and how and where the boundaries that delimit the marginalised and excluded lie. Discourse has ontological
power (pouvoir d’affirmation) with respect to the domains of objects. It does not create being out of nothingness;
but it is indispensable in endowing this being with meaning, in forming logos from chaos’ (see also Foucault,
1981).
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cited in Cote, 2007: 43). Moreover, this game is comprised of relations of power and
knowledge and therein such relations are fundamental to the constitution of any dispositif
(Cote, 2007). The dispositif is therefore ‘always inscribed in a game of power, but it is also
always linked to one or many limits of knowledge, which emerge from but equally condition
the dispositif’ (Foucault, 2001: 300, as cited in Cote, 2007: 42, emphasis added). In The Order
of Discourse, for example, Foucault outlines the hypothesis that a constitution of any dispositif
is the many limits of knowledge. Foucault notes that, ‘in every society the production of
discourse is at once controlled, selected, organised and redistributed by a certain number of
procedures whose role is to ward off its powers and dangers, to gain mastery over its chance
events, to evade its ponderous, formidable materiality’ (Foucault, 1981: 52). However, for now,
understanding “dispositif” as borne through the notion of positivity, Agamben (2009: 6)
advances the hypothesis that “apparatus” is an essential technical term in Foucault’s thought
(cf., Ploger, 2008). Apparatuses are, in point of fact, what take the place of the universals (les
universaux) in the Foucauldian strategy; not simply this or that police measure, this or that
technology of power, and not even the generality obtained by their abstraction (Agamben,
2009). Rather, an apparatus is ‘the network (Ie reséau) that can be established between these
elements’ (Agamben, 2009: 7).
3.2.1 Dispositif: Power as ‘Network’
Power - in its complex and polyvalent myriad relations - is always both an effect and a
constitutive element of any dispositif (Cote, 2007: 131). Power is perhaps most clearly visible
in Foucault’s 1977-78 College de France lectures, Securite, Territoire, Population (see inter
alia Foucault, 2007). Foucault begins by exhorting that the juridical model of sovereignty be
abandoned; to not look at power as if it has a single centre, but at its extremities, its maternal
means of intervention and its actual apparatuses of violence (Foucault, 2007). As Foucault
(1980b: 102-103) notes, ‘we should direct our researches towards domination and the material
operators of power - towards forms of subjection and the inflections and utilisations of their
localised systems, and towards strategic apparatuses. We must eschew the model of the
Leviathan in the study of power’. This methodological shift to more complex causal relations
reflects Foucault’s inexorable turn to seeing power as diffused, decentralised, and arranged in
microphysical relations (Cote, 2007).
In his analysis of the implementation of polyvalent disciplinary power, whether in
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schools, in army barracks, in emerging industrial factories, or in prisons, Foucault posits that
the dispositif stands as a rebuke of the notion that power is monolithic or as a centralised point
(Foucault, 2003a: 266-77). Rather, Foucault envisages power as ‘relations of force that
intersect or, on the contrary, come into conflict and strive to negate one another’ (Foucault,
2003a: 266-7). This is why Foucault speaks ‘of a regime of multiple governmentalities’, of
which governing is ‘much more than reigning of ruling’ (Foucault, 2007: 76-77); government
is concerned with man’s conduct qua his relations with other man and things. Ultimately, the
notion of dispositif makes untenable the vision of a single central luminous source, which emits
power into a variegated spectrum (Cote, 2007). As Deleuze (1992: 73), drawing upon Foucault,
articulates:
‘These power-relations, which are simultaneously local, unstable and diffuse, do not emanate from a
central point or unique locus of sovereignty, but at each moment move ‘from one point to another’ in a
field of forces, marking inflections, resistances, twists and turns, when one changes direction, or retraces
one’s steps’.
This declaration of a shift flags a significant reconceptualisation of power, namely that
power that is not a commodity possessed by individual subjects, but an expression of relations
of power and knowledge which is both iterable and polyvalent (Cote, 2007: 22). However, as
the term ‘resistances’ suggests, power and it’s dispositifs are always a site of contestation; the
composition of those complex networked relations of struggle are always changing, cohering
and diverging, depending on the particular relations of force at a given historical moment (Cote,
2007: 131-132). In this way, the heterogeneous lines that make up a dispositif are not like the
iron bars of a prison cell; they are more like the lines that link different nodes in a network -
and such complex relations are always open to rearticulation, to further cohesion or divergence
(Cote, 2007: 162). As Deleuze (1992) makes clear, one could speak of hard lines of
sedimentation but within a dispositif, there are always lines of “breakage” and “fracture”. In
short, dispositifs always leak; they are always in process, sometimes attaining greater cohesion,
other times, breaking apart into new formations (Cote, 2007: 162). This is why ‘dispositifs are
subject to changes in direction, bifurcating and forked and subject to drifting’ (Deleuze, 1992:
189, italics in original). Thus, following their emergence, elements are always subject to
renegotiation, displacement, or consolidation (Brigg, 2001). Moreover, untangling these lines
within a dispositif is like drawing a map, doing cartography; this is what Foucault terms
‘working on the ground’ (Deleuze, 1992: 159).
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Understanding power and networks of Power (with a
capital P) this way, Foucault directs our gaze to the first element of the dispositif; that it is not
a hermeneutic instrument but a heterogeneous ensemble which produces meaning and
subjectivity through the particular composition of its elements (Cote, 2007: 9). There is not a
single dispositif of power; it proposes neither an “organising finality” nor a “universal frame”
nor is it merely determined by the unitary necessity of the mode of production (Cote, 2007: 9).
Rather, a dispositif refers to a complex network of relations, to combinatory processes that
allow us to ‘see and speak’ (Deleuze, 1992). Thus, dispositifs are neither transcendental nor
totalising: ‘they are expressive combinatory machines which make words, things, and
subjectivities intelligible’ (Cote, 2007: 10). Importantly, the visibility of what we can see that
of which we speak valorised in terms of power cannot be traced back to a general source of
light, which could be said to fall upon pre-existing objects; it is made from lines of light which
form variable shapes inseparable from the apparatus itself (Deleuze, 1992). Thus, the discursive
and non-discursive heterogeneous elements are not linked in any inherent or originary way, but
are compositional in particular relations and answer to certain greater problems in a particular
society (Peltonen, 2004: 216). Therefore, each apparatus has its own way of structuring light,
the way in which it falls, it disperses, its blurs, disturbing the visible and the invisible, giving
birth to objects which are dependable on it for their existence (Deleuze, 1992: 160). According
to Deleuze (1992: 166), ‘a dispositif compromises truths of enunciation, truths of light and
visibility, truths of power, truths of subjectivation. Truth is the actualisation of the lines which
constitute a dispositif’.
3.2.2 Dispositif as Productive
The dispositif is not simply a heterogeneous ensemble of domination; Foucault is also clear
about the productive role of the dispositif:
‘The apparatus therefore has a dominant strategic function ... I said that the nature of an apparatus is
essentially strategic, which means that we are speaking about a certain manipulation of relations of
forces, of a rational and concrete intervention in the relation of forces, either so as to develop them in a
particular direction, or to block them, to stabilise them, and to utilise them’ (Foucault, 1980b: 194-196).
The centrality of production can be seen in some of the most detailed and meticulous passages
in Discipline and Punish (see Foucault, 1977). For Foucault, general tactics are employed in
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diverse institutional contexts to satisfy functional imperatives; space is organised, enclosed,
partitioned and divided according to hierarchical rankings, such that individual activities can
be at once supervised and optimised (Foucault, 1977: 141-149). Moreover, for Foucault, time
is divided, regulated, programmed and coded, such that individual activities can be
synchronised according to predetermined rhythms and incorporated into efficiently functioning
machines (Foucault, 1977: 149-156). Spatial distributions and temporal patterns are then co-
ordinated, so that the institution in question can attain maximum efficiency with a minimum of
interference (Foucault, 1977: 156-69). The common denominator of these heterogeneous
tactics is their basic target - namely, ‘the ordering of human multiplicities’ (I’ordonnance des
multiplicities humaines) (Foucault, 1977: 218) which, according to the disciplinary dispositif,
must be rendered at once docile and useful (Brenner, 1994: 692). Moreover, whilst Foucault
never provided a theoretical exposition of his basic categories, as Brenner (1994: 291)
observes, his extensive use of the term “function” in Discipline and Punish suggests the
following definition: ‘a function is any discourse, practice, or effect of the latter which
produces a designated or latent consequence in a given social context. A dispositif emerges
when a cluster of functions aims toward the same set of targets, such that a functional system
is formed’. In The History of Sexuality, Volume: 1
(HoS hereafter), the concept of dispositif has an even more visible productive role. The basic
thesis of HoS is the explicit inflection of examining power through a dispositif of sexuality,
which is inscribed on the body and exercised in myriad relations. In other words, we, as
subjects, are not “outside” dispositifs, because, as Foucault (1980b: 128) observes, ‘it is not
possible to place one’s self outside’. Rather, for Deleuze (1992: 164), drawing upon Foucault,
‘[w]e belong to social apparatus (read ‘dispositifs’) and act within them’. Yet, Foucault insists
quite explicitly against Weberian theories of bureaucratisation and organisational
rationalisation; that this dispositif is never reducible to the institutions through which it operates
(Brenner, 1994):
‘‘Discipline’ may be identified neither with an institution nor with an apparatus (appareil); it is a type
of power, a modality for its exercise, comprising a whole set of instruments, techniques, procedures,
levels of application, targets ... it may be taken over either by ‘specialised’ institutions ... or by
institutions that use it as an essential instrument for a particular end ... or by pre-existing authorities that
find in it a means of reinforcing or reorganising their internal mechanisms of power ... or by apparatuses
(des appareils) that have made discipline their principle of internal functioning ... or finally by state
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68
apparatuses (des appareils etatiques) whose major, if not exclusive, function, is to assure that discipline
reigns over society as a whole’ (Foucault, 1977: 215-216; see also Brenner, 1994: 692).
In this way, there is no a priori causality or determination - that is, there is no non-discursive
base from which the discursive emanates, nor is there a transcendental subject which provides
a normative matrix to co-ordinate those effects (Cote, 2007). Indeed, the utility of the dispositif
comes to those with whom it answers a particular need (Foucault, 1980b). Typically, it involves
identifying an “urgent need” and then delineating the various responses, specifically those that
result in a cohesive network of relations (Foucault, 1996). As Cote (2007: 137), drawing upon
Foucault, suggests, ‘an attempt is made to resolve it with an entire arsenal of implements and
arms (the laws concerning the poor, the more-or-less forced isolation and, finally,
imprisonment)’. However, this does not necessitate a strictly instrumental response, or a
“simple” tautological affirmation: “I, reason, exercise power over you, madness”. Instead, it is
a reflexive dynamic process, which plays out in a complex set of relations. Or, in Foucault’s
(1996: 259) words, ‘the heterogeneity of power – how power is always born of something other
than itself’. Unravelling the complex relations that bring about this need is one way of
proceeding if there is neither an ordinary subject nor an unchanging, objective, transcendent
truth (Cote, 2007: 44). Having outlined some of
the major tenets of Foucault’s securite de dispositif, the chapter now turns towards a focus upon
Foucault’s concept of ‘governmentality’. It is recognised that the concept of the ‘dispositif’ is
based on Foucault’s work on governmentality which has correctly been regarded as a “key
notion” (Allen, 1991: 431) of his work. However, since the usage of the term governmentality
can be applied as a way of refiguring the overall trajectory of Foucauldian thought, it is
important to clarify and distinguish the concept of governmentality.
3.3 Governmentality
Unlike the critical-realist scholarship on risk pioneered by Beck and Giddens, a
governmentality approach contends that, ‘there is no such thing as risk in reality’ (Dean, 1999:
177). Consequently, a strength of the governmentality approach is that it does not buy into the
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ontological aspects of the things it describes (Joseph, 2012). Thus, rather than being
preoccupied with the obsolescent ontological debate which grapples with the question ‘is risk
really out there?’ A Foucauldian approach goes a step further in its analysis to reveal how risk
acts as a ‘dispositif’ through which the rationality of neoliberalism shapes modern life,
regimenting our conduct, and legitimising a wide-reaching security architecture geared to
survey, categorise and target entire populations by governing them ‘at arm’s-length’ (Clapton,
2011). It is
within the lectures of 1978 and 1979 that focus on the ‘genealogy of the modern state’92 where
Foucault coins the concept of governmentality (Lemke, 2002). As Rose (1999: 3) observes:
‘Within these lectures Foucault sketched some pathways for analysing power that were not transfixed
by the image of the state or the constitutive oppositions of conventional political philosophy or political
sociology. They defined their problem space in terms of government, understood, in the words of
Foucault’s much-cited maxim, as “the conduct of conduct”’.93
This maxim argues that strategies of political rule, from the earliest moments of the modern
nation state, entailed complex and variable relations between calculations and actions of those
seeking to exercise rule over a territory, a population, a nation and a microphysics of power
acting at a capillary level within a multitude of practices of control that proliferate across a
territory (Rose, 1999: 17). Importantly, Foucault links this concept to the dispositif, which
makes possible an analysis of ‘polymorphous techniques of subjugation’ (Brenner, 1994: 685).
Thus, fundamentally, it is a term that encompasses ‘governing the self’ to ‘governing others’
(Lemke, 2002: 2). In this
vein, Foucault endeavoured to show how the modern sovereign state and the modern
autonomous individual co-determine each other’s emergence (Lemke, 2002: 2-3). As Deleuze
(1986) observes, in the space left open by the disappearance of the Weberian problem of
legitimate domination, a persistent questioning ranges the whole of Foucault’s work: how are
we to seize these infinitesimal, diffused and heterogeneous power relations so that they do not
always result in phenomena of domination or resistance? How can this new ontology of forces
open up to unexpected processes of political constitution and independent processes of
92 For Foucault (2007: 286), a body like the state is indispensable for governmentality: ‘the state is therefore a
schema of intelligibility for a whole set of already established institutions, a whole set of given realities’. 93 As Lazzarato (2006: 15-16) points out, elements of “the conduct of conduct” maxim were already found in the
Nietzschean concept of “forces” that was the precursor to Foucault’s conception of “strategic relations”. This
modality, defined as an “action upon an action,” spreads through the will to “control the conduct of others”.
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subjectification?94 Understood this way, the problem of security is not simply a problem of law
or legal transgression. The problem of security is always a problem of security governance (see
Dean, 2007). In Foucault’s much cited
monographs and lectures, he uses governmentality in two ways. In the first instance, his
discussion of governmentality encompasses a historical narrative about the shifting governing
rationalities of political modernity (Lyness, 2014: 84). As Foucault (2007: 14) makes clear:
‘First, by “governmentality” I understand the ensemble formed by institutions, procedures, analyses
and reflections, calculations, and tactics that allow the exercise of this very specific, albeit very
complex, power that has the population as its target, political economy as its major form of knowledge,
and apparatuses of security as its essential technical instrument. Second, by “governmentality” I
understand the tendency, the line of force, that for a long time, and throughout the West, has constantly
led towards the pre-eminence over all other types of power - sovereignty, discipline, and so on - of the
type of power that we can call “government” and which has led to the development of a series of specific
governmental apparatuses (appareils) on the one hand, (and, on the other) to the development of a series
of knowledges (savoirs). Finally, by “governmentality” I think we should understand the process, or
rather, the result of the process by which the state of justice of the Middle Ages became the
administrative state in the fifteenth and sixteenth centuries and was gradually “governmentalised”’
(Foucault, 2007: 144).
Second, the semantic linking of governing (“gouverner”) and modes of thought
(“mentalité”) indicates that it is not possible to study the technologies of power without an
analysis of the political rationality underpinning them (Lemke, 2002: 2-3). When taken
together, these complex relationships establish a framework through which political discourse
is circumscribed and reiterated (Foucault, 2007). For example, in modernity it is argued all
forms of government have attempted to ‘rationalise’ themselves, to account for the ‘authority
of their authority’ (Aradau and van Munster, 2007: 15). Rationalities appear therefore as
knowledgeable discourses that represent objects of knowledge, confer identities and agencies
upon social and political actors, and identify problems to be solved (Dean and Hindess, 1998).
In essence, rationalities make social problems practically manageable. Accordingly,
technologies are the means of realisation of rationalities: the social practices that are aimed at
manipulating the social and physical world according to identifiable routines (O'Malley, 1992:
269; see inter alia Foucault, 1988b). As such, governmental rationalities and technologies
94 See Lazzarato (2006).
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affect behaviour and ‘construct’ forms of ordered agency and subjectivity for governing the
conduct of individuals, collectivities and populations95 (Aradau, 2004: 264).
3.3.1 Governmentality: Population
As Foucault’s description of governmentality highlights, governmentality has “the
population”96 as its target, political economy as its major form of knowledge, and apparatuses
of security as its essential technical instrument (Foucault, 2007: 108, 144). Importantly, from
a Foucauldian point, “population” does not mean people but is a statistical category, neither
the individual as singularity, nor the people as a whole (Bigo, 2008). Population and the
environment are perceived to be in a perpetual living interrelation of which the state must
manage (Foucault, 1988a: 160). In Foucault (1988a: 160) words, ‘the true object of the police
becomes ... the population’. As such, it leads again to an opposition with discipline (Foucault,
2004: 57). Discipline classifies, and establishes a division between the capable and the
incapable (the normal from the abnormal in Foucauldian terms) (see Foucault, 1977). In
contrast to disciplinary normalisation, as Bigo (2008: 99), drawing upon Foucault, points out:
‘Security starts from cases, from their statistical distribution, from the differential risks posed by each
case, from the probabilities of their occurrence and it determines whether they are more or less
dangerous, whether they have a greater or lesser chance of occurring in reality. It shows dramatically
that in its contrary aspect insecurity, or more precisely (in)security, there is only one and the same
process: the norm is sought from the starting point of the most pronounced curves of the statistical
distribution of danger which are labelled as abnormal’.
Moreover, in Foucault (2007: 65; 2007: 93) words, ‘[t]he operation of normalisation consists
in establishing an interplay between these different distributions of normality and (in) acting to
bring the most unfavourable in line with the more favourable’. The norm that Foucault speaks
of ‘is an interplay of differential normalities. The normal comes first and the norm is deduced
from it’ (Foucault, 2007: 65). Foucault stresses the articulation of the security-insecurity
process grounded on the phenomenon, not attempting to hinder it, or stop it (Bigo, 2008: 100),
but, on the contrary, ‘making other elements of reality function in relation to it, in such a way
95 See Dean (1999); Ewald (1991); Lupton (1998). 96 Foucault understands population not as the entirety of all the state’s subjects, but as an entity “with its specific
phenomena and processes” (Foucault, 2007: 66).
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that the phenomenon is cancelled out’ (Foucault, 2007: 88).
Viewed through this Foucauldian lens, the dispositif of risk is instrumental in producing
a strategic ordering of society whereby ‘risk identities’ are attributed to individuals, groups and
‘failed’ or illiberal states necessitating targeted interventions which extend the neoliberal
project (Clapton and Hameiri, 2011). As Bishop (2014: 232), drawing on the work of Clapton
and Hameiri (2011), suggests:
‘HIV is socially constructed as universally de-bounded ‘risk’ which merits more urgent international
policy responses than peripheral problems such as curable disease and famine. This kind of strategic
ordering produces risk-based hierarchies which privilege certain forms of life over others, protecting
the core from risks accumulating in the ‘illiberal’ periphery’.
This is one of the defining qualities of governmentality: a concern with the welfare of the
population, the improvement of its condition, and the increase it its wealth, longevity, health
and so on (Foucault, 1978 [2001]: 216-217).
3.3.2 Governmentality: Subjectification
Foucault uses the notion of government in a comprehensive sense geared strongly to the older
meaning of the term and adumbrating the close link between forms of power and processes of
subjectification (Lemke, 2001: 191). As Lemke (2002: 2; see also Foucault, 1991) observes,
‘“government” also signified problems of self-control, guidance for the family and for children,
management of the household, directing the soul, etc.’ Analysing this trajectory in Foucauldian
thought, Reid (2008: 27) applies the term strategisation and questions: ‘how is it that the
aleatory fixation of the natural body becomes the enemy against which the norm of a population
is defined? How is it that those norms which constitute society, aided by the demographic
sciences of population become the foundation for a security project through which the
populations involved become mobilised?’97 Fundamentally, according to Foucault, the basis of
threats posed by natural life are established by the biopolitical constitution of a society (Reid,
2008).98 For
97 See inter alia Foucault (1991). 98 Providing a detailed examination of biopolitics is beyond the scope of this chapter. The purpose here is less to
track the early history of the biopolitics of security and its complex relation with the emergence and subsequent
development of life science, however, than to establish how and why biopolitical technologies of governance
constitute a distinctive dispositif.
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Foucault, biopower (also understood as biological traits), like governmentality, addresses the
population (Foucault, 2003a: 241).99 Whilst biopower is the form of power that takes the
population as its object for the purposes of fostering life, biopolitics is a subset of governmental
intervention, which constitutes ‘a specific area of governmental intervention’ (de Larrinaga and
Doucet 2010a: 8; Foucault, 1980a: 136 and 2002: 246-258). Foucault (2008) thus describes a
diagram of power, through which he illustrates how biopower has taken control of the body,
population and life itself. For Foucault, the logic of biopower is one of production: ‘it exerts a
positive influence on life, endeavours to administer, optimise, and multiply it’ (Foucault, 1978:
177). Further, as Ojakangas (2005: 6) argues, in the case of biopower, ‘its task is to take charge
of life that needs a continuous regulatory and corrective mechanism’. Foucault sums this up as
‘the regulation of populations for society’s overall betterment’ (Foucault, 2007: 10; see also
inter alia Foucault, 2008).
These calculative modes are tied explicitly to advances in rationality more generally,
as modes of rationalising and regulating the art of governing (Foucault, 2004: 316-317; see
also Elden, 2007: 573). It is calculation (calcul) rather than an earlier notion of ‘wisdom’
(sagesse) which is the model for these rationalities: ‘calculation of forces, relations, wealth,
elements of force’ (Foucault, 2004: 315). As Foucault (1978: 137; see also Foucault, 2008)
suggests, ‘the dispositifs of power and knowledge begin to take into account the ‘processes of
life’ (the species, the race, and the large scale phenomena of population) and the possibility of
controlling and modifying them’ to the point where management of species life became the
ultimate end of government.
For Foucault, biopolitics - understood as specific strategies of power situated and
exercised over the population - thus concerns the collective mass, but simultaneously
necessitates the regulation of its depths and its details (Foucault, 2008). As Foucault (1982:
244, as cited in Murphy, 2012: 22) makes clear, ‘the exercise of power is not a naked fact, an
institutional right, not is it a structure which holds out or is smashed: it is elaborated,
transformed, organised, it endows itself with processes which are more or less adjusted to the
situation’. Further, from the perspective of governing, the content of these interests is less
important than the mode of calculation itself: assuming that social actors undertake this form
of calculation makes possible the manipulation and direction of their behaviour and conduct
(Lyness, 2014: 85). As Lyness (2014: 85-86), drawing upon Foucault, makes clear:
99 Whilst Foucault’s concern is with biological factors, he extends this to include ‘social’ problems, what he calls
the populations ‘public’ attributes. These include ways of doing things, forms of behaviour, customs, fears,
prejudices, and requirements (Foucault, 2007: 75).
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‘If rational conduct is any conduct which is sensitive to modifications in the variables of the
environment and which responds in a non-random way, in a systematic way (to these modifications),
then artificially modifying the environment in which homo economicus is embedded should be
accompanied by a resulting change in behaviour. His conduct can be conducted; in short, he is in
Foucault’s terms “eminently governable”’ (see also Foucault, 2008: 269-270).100
This is a key feature of the mode of ‘government at a distance’ that Nikolas Rose (1999: 49-
50) discusses as a hallmark of governing in advanced liberal societies. Moreover, glossing
Foucault – who says, ‘this I believe is the essential principle in the establishment of the art of
(biopolitical) government; introduction of economy into political practice’, (Foucault, 1991:
92) - Dillon (2008: 313) construes the ‘economic’ logic of biopolitics as a broadly transactional
logic; the space of biopolitics as a transactional space; and the self-governing freedoms through
which biopolitics of security are practiced as transactional freedoms - what Foucault terms
“circulation”.
3.3.3 Governmentality: Circulation
In his delineation of practices of security from those of discipline, Foucault locates ‘the
absolutely crucial notion of risk’ (Foucault, 2007: 61). Working through a painstaking
genealogy of smallpox, Foucault identifies new ‘fields of application and techniques’ of risk
(Amoore and de Goede, 2008c: 10). No longer did the management of disease ‘follow the
previous practice of seeking purely and simply to nullify the disease [...]’ (Foucault, 2007: 65).
Instead, Foucault notes ‘the emergence of a completely different problem’ (Foucault, 2007: 65;
see also Amoore and de Goede, 2008c). Whilst discipline operates through the enclosure and
circumscription of space, and sovereignty capitalises a territory, biopolitical apparatuses are
concerned with ‘allowing circulations to take place, of controlling them, devising between the
good and the bad circulation, ensuring things are always in movement’ (Foucault, 2007: 65;
2007: 18, see Elden, 2007; Lobo-Guerrero, 2007; Amoore and de Goede, 2008a: 11).
Moreover, in addressing and seeking to counteract the “aleatory events” that disrupt “good”
100 Noting that with liberalism, the individual must be ‘left alone’, Foucault wryly noted the paradox that it was
precisely this individual - homo economicus - who was increasingly ‘manageable’ through what he called
‘environmental’ forms of government (Braun, 2014). However, as Braun (2014: 54) points out, ‘Foucault’s
analysis of neoliberalism still presupposed a subject who responds in terms of a particular kind of rationality - for
instance, as a rational economic actor who accepts the ‘reality’ of the market - and it is precisely this ‘free’ exercise
of reason in relation to this reality that renders the subject governable’.
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circulation and make the population less productive (Foucault, 2007: 246), Foucault (2007: 17)
specifically questions the way mechanisms of security operate in a spatial order ‘to be a perfect
agent of circulation’. Paraphrasing Foucault (2007: 64): ‘how should things circulate or not
circulate?’ The purpose of biopolitics
is fundamentally the facilitation and optimisation of “circulation”. Circulation is concerned
with flows, but flows have to be monitored and regulated” (Dillon and Lobo-Guerrero, 2008:
268). The question of critical governmental reason thus becomes ‘how not to govern too much’
(Foucault, 2008: 13, see also Dillon and Lobo-Guerrero, 2008). As Adey (2009: 12) articulates,
‘the continual calibration of circulation is organised in order to protect that circulation from
strangling life’. Consequently, power does not operate by probation but by the ‘delimitation of
phenomena within accepted limits, rather than an imposition of a law that says no to them’
(Foucault, 2007: 66).
As Dillon and Lobo-Guerrero (2008: 279) observe, it is important to note that
Foucault’s use of circulation refers to ‘circulation in the widest and most generic sense of the
term’. Indeed, Foucault states that in his use of the concept he means circulation understood
‘in a very broad sense of movement, exchange and contract, as a form of dispersion, and also
as a form of distribution’ (Foucault, 2007: 64). At the same time, Foucault identifies a set of
more technical issues regarding circulation, as the problematic of biopolitics and circulation
includes diverse modes of circulation and not just the things that circulate (Dillon and Lobo-
Guerrero, 2009). Accordingly, circulation emerges as both the key instrument and target of
biopolitics:101
‘[...] By ‘circulation’ we should understand not only this material network that allows the circulation ...
but also the circulation itself, that is to say, the set of regulations, constraints, and limits, or the facilities
and encouragements that will allow the circulation of men and things’ (Foucault, 2007: 325).
Thus, “circulation” becomes the referent object of security as security shifts from sovereign
territoriality to life since ‘circulation concerns a world understood in terms of the biological
structures and functions of species existence together with the relations that obtain between
species life and all its contingent local and global correlations’ (Dillon, 2007b: 11). In further
exegeses of Foucault’s work, Dillon102 (2007b: 12) goes on to say:
101 See Aradau and Blanke (2010); Dillon and Lobo-Guerrero (2008); Lobo-Guerrero (2007, 2008). 102 Whilst Dillon questions the mechanisms and technologies that are presently deployed by those that take life as
their referent object, he seeks to extend Foucault’s original theses to the analysis of the political rationalities and
technologies of security, which are now common among regimes of biopower, which increasingly characterise
the 21st century (Dillon and Lobo-Guererro, 2008: 269).
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‘The logic of threat installed by liberal biopolitics of security is ultimately not that of an externalised
enemy. Neither another competitive state nor an existential other form of life, the threat to life in the
liberal struggle biopolitically to secure life becomes life itself, the very means by which lifelike
properties circulate and propagate’.
3.3.4 Governmental Milieu
Subjectification alongside circulation leads to a further crucial aspect of governmentality.
Foucault contends that the exercise of power through biopolitics and apparatuses of security
involved planning and intervening in a “milieu” (Foucault, 2007; see also Murphy, 2012).
Politically, Foucault explains, the milieu is also a ‘field of intervention in which ... one tries to
affect, precisely, a population and the conjunction of a series of events produced by these
individuals, populations, and grounds, and quasi natural events which occur around them’
(Foucault, 2007: 21). This, as opposed to, the ‘capitalising’ of state, territory or province as in
sovereignty, or a space of discipline (Foucault, 2007: 20-22). It is then ‘that in which circulation
is carried out’ and involves and relies on a mix of natural (rivers, marshes, hills) and artificial
(an agglomeration of individuals, houses, etcetera) ‘givens’ (Foucault, 2007: 21). Importantly,
Foucault (2007: 20) also outlines that a milieu can be understood as ‘the space in which a series
of uncertain and temporal elements unfold’ (“l’aléatoire”),103 then as ‘both the medium of an
action and the element in which it circulates’ (Foucault, 2007: 20). Thus, according to Foucault,
a milieu as a space of security should instead be read as ‘a certain number of combined, overall
effects bearing on all who live in it. It is an element in which a circular link is produced between
effects and causes, since an effect from one point of view will be a cause from another’
(Foucault, 2007: 20-21). Through his discussion of the
milieu, one of the key dynamics in Foucault’s analysis of the relationship between security and
circulation is that security’s object remains beyond its grasp, that the deployment of the
technologies of security is done within a context marked by the impossibility of eliminating
insecurity altogether (de Larrinaga and Doucet, 2008b: 524). Instead, the dispositif of security
is presented through its relationship to the event: as the art of governing and the treatment of
the uncertain, the aleatory (Foucault, 2007). It is a project, as Foucault notes, which demands
103 How to act under conditions of indeterminacy and uncertainty is not a new problem – far from it. As Foucault
and others teach us, the problem of how to seize possession of an uncertain future has reverberated across various
modalities of liberal government and rule (Anderson, 2010a: 780; see also Foucault, 2007, 2008; Rose, 1999).
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that any investigation of security is oriented towards a future that is not exactly controllable,
not precisely measured or measurable; good management therefore ‘takes into account
precisely what might happen’ (Foucault, 2007: 20; de Larrinaga and Doucet, 2008b: 524;
Murphy, 2012: 34). Such an orientation to the uncertain future inhibits the very idea of risk. In
Foucault’s (2007: 19) words:
‘Security will rely on a number of material givens ... it is simply a matter a maximising the positive
elements, for which one provides the best possible circulation, and of minimising what is risky and
inconvenient ... while knowing that they will never be completely suppressed’.
Fundamentally, then, securing life is about letting ‘life live’, or, as Foucault (2007: 30) puts it,
‘a question of constituting something like a milieu of life, existence’ (Foucault, 2007: 30). This
produces, as Huxley writes, ‘the conditions in which (regulated) freedoms are exercised’
(Huxley, 2006; see also Foucault 2007: 189). Accordingly, viewing security as a dispositif of
circulation within a life environment and not as a dispositif of disciplining bodies opens up and
entirely different spatial configuration of security in which entirely different analytical methods
are invariably sought (Evans, 2010: 416-417). Moreover, understanding power as
heterogeneous, Foucault attempts to explain how notions of threat actually provide societies
with their generative principles of formation (Evans, 2013). Thus, it is unsurprising that since
Foucault’s death there have been several exegeses of Foucault’s work, as linked to risk.
3.4 Dispositif, Insurance and Risk104
Acolytes of Foucault have attempted to elucidate how neo-liberal states discipline and govern
through risk (Mythen and Walklate, 2005: 385). 105 Theorists largely heralding from the
governmentality tradition posit risk as multiform and heterogeneous whilst its rationality and
104 This section borrows heavily from previous research undertaken by Claudia Aradau and Rens van Munster
(2005, 2007, 2008a, 2008c) for reasons twofold. First, Aradau and van Munster clearly articulate specific
developments, transformations and transitions between insurance and risk. Second, their work more generally can
be considered a catalyst for the significant growth in literature that examines ‘precautionary’ risk rationality. 105 For an analysis of governing through autonomous subjects, see Sending and Neumann (2006).
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logic are to be derived from an attentive analysis of configurations of practices (Aradau and
van Munster, 2005). The combination of rationalities and technologies define risk as a ‘family
of ways of thinking and acting, involving calculations about probable futures in the present
followed by interventions into the present in order to control that potential future’ (Rose, 2001:
7). Moreover, a dispositif of risk implies a specific relation to the future, a relation that requires
the monitoring of the future, the attempt to calculate what the future can offer and the necessity
to control and minimise its potentially harmful effects (Aradau and van Munster, 2007: 9).
Inspired by the work of
Michel Foucault, François Ewald (1986) and Jacques Donzelot (1984) have offered a
genealogical analysis of risk that posits insurance as a dispositif for governing the social
(Aradau, and van Munster, 2008a: 5). The rationality of insurance is based on the principle of
solidarity that replaces the juridical principle of responsibility as response to the
problematisation of specific social and historical problems (Aradau and van Munster, 2007).
Interestingly, the dispositif of risk insurance emerged where politics and economics proved
incapable of managing social problems (Aradau and van Munster, 2007). Insurance provided
an answer to the ‘scandal of the poor’ in the post-revolutionary French République, where
neither political equality nor capitalism could (Donzelot, 1984, as cited in Aradau and van
Munster, 2007: 18). Despite equality before the law and equal sovereignty, the poor had no
property and were therefore forced to sell their labour. Yet, free access to work did not mean
the end of indigence - the great political concern of the century (Aradau and van Munster,
2007). The ‘discovery’ of the work accident, for example, could have disrupting effects for
the social fabric, with its disputable claims to responsibility and exacerbation of questions of
exploitation (Aradau, and van Munster, 2008c:10). In this way, a rationality of risk
reformulated accidents as something inherent to work, against which workers could however
be protected through insurance (Aradau and van Munster, 2007: 18) which reinforced the
paradigm of risk insurance. Thus, insurance, in Donzelot’s words, could:
‘Modify the relations between capital and wage-earners without distorting the historical logic on which
they rest, ensure a better moralisation of the individual by transforming the social milieu, concretise the
invisible bond between men of which the State is the visible expression’ (Donzelot, 1988: 399).
In these analyses, insurance appears as a desecuritising technology rather than a means of
governing security. This desecuritising aspect is linked with ‘social security’, a different form
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of security – according to Ewald – that is built upon the logic of solidarity rather than danger
or threat (Aradau and van Munster, 2008a: 6). Yet, Ewald (1986) adds another side to the
reparation and compensation that insurance offers, namely prevention. The problem of
compensating losses is inseparable from the problem of reducing the probability of their
occurrence (Aradau and van Munster, 2008a). In this sense, one can argue that the neo-liberal
modification of the paradigm of insurance and solidarity is rather a tipping of the balance in
favour of prevention (Aradau and van Munster, 2008a).
It is argued the rise of neo-liberalism has spelt the end of the practice of collective risk
management in favour of ‘prudentialism’ and prevention, in which subjects are required to
prudently calculate, and thereby minimise, the risk that could befall them (Aradau and van
Munster, 2007: 20; see also O’Malley, 1992). This particular subjectivity is made possible by
discourses on, for example, terrorism and risk, and the resulting ‘at-risk’ consciousness, has
been characterised as the ‘entrepreneurial subject’ (Rose, 1990, 1993; Petersen, 1996). This
captures the notion that ‘life should be an enterprise of oneself’ (Petersen, 1996: 48), a personal
project, to be continually and actively assessed, managed, worked and improved upon (see
Rose, 1990, 1993; Lupton, 1995; Petersen, 1996, 1997). In turn, this requires the individual to
adopt a calculative and prudent attitude with respect to risk and danger106 (Petersen, 1996: 51).
This does not
however, reactivate the traditional understanding of risk, but redirects the dispositif of
insurance towards the individual – hence the reference to the notion of “new prudentialism”
(O’Malley, 1992: 261). Thus, insurance becomes a matter of (rediscovered) individual
responsibility, prudential conduct and ultimately choice. Prudent individuals were said to
negotiate the vicissitudes of fortune on their own and thus avoided becoming a burden on the
others (Aradau and van Munster, 2007). As neo-liberalism attempts to extend the criteria of the
market and its forms of decision-making to other areas, insurance increasingly tends to only
insulate the ‘wise’ against contingency (Aradau and van Munster, 2008: 6). Thus,
governmentality authors increasingly point out the divide between universal social insurance
provided by the state and the ‘privatisation of risk management’ (Rose, 1996: 58). Alongside
the attack from neo-liberalist accounts, it is posited insurance has undergone further
transformations as a result of the challenge from the scientific discoveries that seemed to
undermine the very logic of calculability and the possibility of providing calculations for the
106 Baker and Simon (2002) have aptly described this shift as a move from “spreading risk”, concerned with the
socialisation of risks by spreading them out over the whole population, to “embracing risk” leading to a de-pooling
of collective risks towards individual responsibility.
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future that has underpinned the insurance dispositif (Aradau and van Munster, 2008b: 27; see
also Beck, 1999c; Bigo, 2008). Accordingly, the relation to the exception is modified by the
unknowable catastrophic event. As Aradau et al. (2008: 152) point it, ‘at the horizon of
catastrophe, precaution, prudence or pre-mediation imbue liberal regimes with a different
exceptionalism’. Moreover, this transition relies on what Beck would dismiss as the
‘ideological formation of risk’, as the pretence of professionals that risks can be controlled
against their intrinsic incalculability and unpredictability (Aradau and van Munster, 2007: 17).
As Ewald
has succinctly formulated in relation to this latter challenge, risk ‘tends to exceed the limits of
the insurable in two directions: infinitely small-scale (biological, natural, or food-related risk),
and toward the infinitely large-scale (‘major technological risks’ or technological catastrophes’
(Ewald, 1993: 222).107 Moreover, as Aradau and van Munster (2007: 21) articulate, the two
‘infinities’ of risk remind us of Beck’s incalculable risks: risks created by science or civilisation
itself. The infinity of risk is doubly manifested in their potential effects and in their ‘being’,
posing a theoretical dilemma for the insurance dispositif (Aradau and van Munster, 2007: 21).
In so being, governmentality scholars have attempted to make sense of what happens when the
authority of knowledge and statistical technologies are surpassed by the horizon of catastrophic
events. It is posited, risk understood as a dispositif for governing possible future irruptions of
social problems offers an answer to this dilemma (Aradau and van Munster, 2007: 34). The
question for governmentality theorists thus becomes one of ‘taming the limit’ of both infinities
of risk and to mobilise discourses of vigilance, prevention and monitoring to govern
uncertainty, or ‘govern the ungovernable’ within a dispositif of governance.108
3.4.1 Dispositif Precautionary Risk
Claudia Aradau and Rens van Munster (2007: 90)109 have recently described ‘a society in
which there are uncontrollable and unpredictable dangers against which insurance is
impossible’, and whereby so-called ‘international terrorism’ becomes another example of ‘a
risk that goes beyond rational calculation into the realm of unpredictable turbulence’.
Foremost, it is argued that paradoxically, the recognition of incalculability and perpetual
107 Of course, it depends on cultural and social dispositions which risks are qualified as catastrophic (cf., Douglas
and Wildavsky, 1982). 108 The term “taming” is theorised in Ian Hacking’s (1990) formulation, ‘the taming of chance’ in relation to
probabilities and statistical laws. 109 See also Aradau and van Munster (2008); cf., Beck (1999c).
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imminence of catastrophe110 does not lead to an abandonment of calculative techniques in
favour of, for example, an introspective embrace of contingency through a resigned political -
philosophical recognition of the fragility of modern life (Amoore and de Goede, 2008a: 10; see
also de Goede and Randalls, 2009: 867; Fierke, 2007: 203). Rather, in the context of the post-
9/11 global security climate, the dominant conceptual underpinning contemporary (in)security
governance has taken on an actively precautionary posture (Aradau and van Munster, 2007;
Stockdale, 2014). Aradau and van Munster (2007) make this point succinctly in arguing the
representation of the double infinity of terrorism has led to the emergence of a ‘new’ dispositif
of risk, which they term “precautionary risk” that has been grafted upon the ‘old’ technologies
of risk management:
‘Between exceptional measures and the immediacy of action on the one hand and the ordinary
administrative, police or insurance measures on the other, the ‘war on terror’ spans the whole space
between the two definitions of securitisation. A genealogy of the dispositifs of risk would allow us to
understand the challenge of the catastrophic and the ‘incalculable’ in relation to the ordinary practices
of risk management’ (Aradau and van Munster, 2007: 34).
This development resonates with the international security environment, which in
recent years has adopted many of the characteristics described by narratives of diminishing
temporal control, as ‘security issues have increasingly been defined in terms of uncertain,
potentially catastrophic threats’ (Aalberts and Werner, 2011: 2191). Further, it is suggested
precautionary risk is based on four interlinked rationalities that allow for the deployment of
specific technologies of government: zero risk, worst-case scenario, shifting the burden of
proof and serious and irreversible damage (Aradau and van Munster, 2007: 25). These
rationalities are derived from the catastrophic and radically contingent elements of risk and
they replace the earlier rationalities of risk insurance: risk identification, risk reduction and risk
spreading (Aradau and van Munster, 2007: 25). Any level of risk is now considered
unacceptable; risk must be avoided at all costs (Aradau and van Munster, 2007: 25).
Drawing upon the work of Ewald (2002), Aradau and van Munster (2007) posit
precautionary risk tends to exceed the limits of the insurable in two directions. The first element
of infinity that undermines a politics of insurance is the catastrophic element, the grave and
irreversible damage that an event can cause (Aradau and van Munster, 2007: 21). The second
110 Perpetual imminence of catastrophe is linked to the dominant rhetoric of inevitability which finds its legacy in
prior international threat scenarios (see inter alia Coaffee, 2009).
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element of infinity is that of uncertainty - that is, ‘to what one can apprehend without being
able to assess’ (Ewald, 2002: 286). As Ewald (2002: 283-84) observes, ‘the precautionary
principle does not target all risks situations but only those marked by two principle features: a
context of scientific uncertainty on the one hand and the possibility of serious and irreversible
damage on the other’. Furthermore, both the large and small-scale risks outlined by Ewald are
related to scientific knowledge. The specific deployment of scientific knowledge then
incorporates the affective domain, rendering fears and anxieties as means of anticipating the
future (Amoore, 2009). ‘The precautionary principle’, writes Ewald (2002: 288), ‘presupposes
a new relationship with science and with knowledge’, one which ‘invites one to anticipate what
one does not yet know, to take into account doubtful hypotheses and simple suspicions’. Thus,
when knowledge is unable to define the prospect of the future, to compute its own effects upon
the future, the logic of insurance is surpassed (Ewald, 2002). This is because (traditionally)
insurance requires the identification of risk and the statistical estimation of an event happening
(Aradau and van Munster, 2008b: 28). According to Aradau and van
Munster (2007, 2008), the double infinity of risk (as Beck hypothesised) thus makes terrorism
difficult to govern by the technologies of insurance risk.111 Yet, as Aradau and van Munster
(2007) observe, this does not mean that these technologies dwindle out of existence or that
governmentality is suspended. Rather, it is posited a Foucauldian approach does not portray
risks as calculable/incalculable, but focuses on ‘how’ presumably incalculable catastrophic
risks like terrorism are governed (Aradau and van Munster, 2007: 21).
3.4.2 Dispositif Risk: ‘At the Limit’
To understand how anticipatory action based upon risk functions, it is important to
acknowledge the presence of the future - that is, the ontological and epistemological status of
‘what has not and may never happen’ (Massumi, 2007). To put it differently, the proliferation
of anticipatory action and the emphasis on an open future, are inseparable from a spatial-
temporal imaginary of life as contingency (Dillon, 2007a). Such invitations are symptomatic
of a trend to draw upon the cultural imaginary to develop a revised calculus of risk which
hyper-extends the anticipatory dimensions (Mythen and Walklate, 2010a: 34; see also Amoore
and de Goede, 2008a). In
111 This despite certain similarities to Beck’s uninsurable risks, of which Aradau and van Munster (2007)
acknowledge.
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the context of the war on terror,112 it is argued “governing”113 has involved championing an
activist approach to security and instigating the discursive emergence and practical
proliferation of a novel iteration of “pre-emption” (Stockdale, 2014). 114 The pre-emptive
decision taken in the context of potentially catastrophic uncertainty is effectively severed from
knowledge, enacting a purer decisionism reminiscent of the so-called precautionary principle
made familiar by theories of environmental governance115 (Aradau and van Munster, 2007:
105; see also Ewald, 2002). Accordingly, a security politics marked by a precautionary
relationship to futurity is quite different to templates of prevention. If prevention supposes a
causal and actuarial relation to futurity, pre-emption is self-consciously speculative and entails
an orientation to the future as “surprise” (Anderson, 2010a: 783). Put differently, pre-emption
is less about prediction, but entails an open orientation to multiple potential futures and a
valuation of action in the present despite incomplete knowledge or unknowable threat (de
Goede, 2014: 49). Although there are
obvious convergences between the logic(s) of precaution and pre-emption, there is also an
importance divergence. The form of action that characterises precaution is the stopping or
halting of something before it reaches a point of irreversibility. As Massumi (2007: 14) puts it:
‘Precaution is parasitic. It acts on processes that have an actual or possible existence prior to the
intervention and does so on the basis of a determinate empirically apprehended threat. Pre-emption is
different; it acts over threats that have not yet emerged as determinate threats, and so does not only halt
or stop from a position outside. Its form of intervention is incitatory and it is justified on the basis of
indeterminate potentiality’.
Thus, pre-emptive acts become immersed in the conditions of emergence of a threat, ideally
occurring before a threat has actually emerged (Anderson, 2010a: 790). What is interesting and
disquieting is the extent to which ‘pre-crime’ measures shift risk assessment from retrospective
112 See, for example, Adey and Anderson (2012); Amoore and de Goede (2008a); Anderson (2010a, 2010b);
Aradau and van Munster (2007, 2008a and b, 2011); Cooper (2006); de Goede (2012, 2008); de Goede and
Randalls (2009); Ehrenberg et al. (2010); Massumi (2005a, 2007); Elmer and Opel (2006); Kessler and Werner
(2008); Moreiras (2005). 113 The primary purpose of “governing terror(ism)” is to eliminate terror through the advance of good government
or make terror at least governable through the advance of security technologies (Dillon, 2007b: 8). 114 It should be made clear, pre-crime and the pre-emptive logic that drives it are not synonymous with prevention.
Pre-emption emphasises action under conditions of uncertainty about a future event, a focus on emergent threat
in a world of interdependencies and circulations, and a generative role given to collective apprehension (Anderson,
2010a: 790). 115 Specifically, it is the potentially catastrophic nature of “new terrorism” which is said to have harboured pre-
emptive security logic; see Mythen and Walklate (2008: 221-223).
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probabilistic estimations of harm to a pre-emptive approach heavily oriented and slanted
towards dystopic future imagining116 (Mythen and Khan, 2005, emphasis added). As Aradau
and van Munster (2007: 106) put it, ‘[w]hat counts is a coherent scenario of catastrophic risk
and an imaginary description of the future’.117 Accordingly, the sovereign order (or security
decision) no longer remains within the realm of empirically verifiable facticity but discernibly
extends into the realm of the imagination (Aradau et al., 2008). The socio-
political ramifications of this recasting of perceptions of present and future have been quite
significant (Stockdale, 2014: 94). Firstly, the precautionary dispositif of risk reconfigures the
debates on securitisation through the introduction of speed and urgency at the heart of
democracies (Buzan et al., 1998) and a risk-based approach that emphasises the everyday
practices of bureaucrats and security professionals (Bigo, 1996, as cited in Aradau and van
Munster, 2007: 332). It is argued decisionism and speed coexist with routines and everyday
practices of the police, the military, immigration officials and other managers of unease
(Aradau and van Munster, 2007: 332). Moreover, the unknowability of the future thus places
decision-makers ‘in the uncomfortable position of having to take drastic action in the face of
an inescapably elusive, uncertain threat’ (Cooper, 2006: 119). Security is thus not only about
the exceptional, that which threatens survival and goes beyond normal politics, but about
everyday routines and technologies of security professionals (Aradau and van Munster, 2007:
17). Second, a dispositif of risk is a set
of procedures of strategic configuration different from others. The dispositif of risk emerges
from the police state and its interventionism as a different way to manage population by
‘laissez-faire’, related to temporality, to the institution of prevention and to the future (Bigo,
2008: 96). Third, the security dispositif is related to limits, to standard deviation, to averages
(Bigo, 2008: 97). In Foucault’s (2007: 8) words, security is related to ‘an order of calculation
of probability, of statistical regularity’. Prevention understood this way means to
anticipate the emergence of undesirable social behaviours within a population categorised as
‘high risk’ based on a virtuality of danger (Aradau, 2004). Thus, strategies of prevention are
based on the assumption that if prevention is necessary, a danger exists, even if only in a virtual
state before being actualised (Aradau, 2004: 267). Moreover, as these correlations remain
arbitrary and can only be proven a posteriori, dangerousness becomes ‘a quality immanent to
a subject’ (Castel, 1991: 287, italics in original). Thus, in a Castelian sense, the security
116 For analyses of such, see Amoore and de Goede (2008a); Anderson (2010b); de Goede (2008b); de Goede and
Randalls (2009); McCulloch and Pickering (2009a); Moreiras (2005); Stockdale (2014); Zedner (2007, 2009). 117 See also Aradau and van Munster (2008b: 29-30).
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dispositif cannot be analysed as being derived from the logic of exception or an exceptional
situation (Bigo, 2008). Rather, as Bigo (2008: 97) points out, ‘security is related to normality
and liberty, not with war and survival, nor with coercion and surveillance. It differs from
sovereignty and discipline as it is a cost calculation inside a series of probable event’. The
organisation of modernity is no longer put into effect through the rationality of the diagram of
the panopticon (Bigo, 2008). Ultimately, the audience becomes destabilised:
‘The idea of the panopticon is a modern idea in one sense, but we can also say that it is completely
archaic, since the panoptic dispositif basically involves putting someone in the centre – an eye, a gaze,
a principle of surveillance – who will be able to make its sovereignty function over all the individuals’
places within this mechanics of power. To that extent we can say that the panopticon is the oldest dream
of the oldest sovereign ... on the other hand what appeared now, is not the idea of a power which would
take the form of an exhaustive surveillance of individuals ... but the set of dispositifs which, for the
government and those who governed, make relevant very specific phenomena which are not exactly
individual phenomena ... although individuals featured in them in a certain way, and there are specific
processes of individualisation’ (Foucault, 2007: 68, 97).
According to Bigo (2008: 100-101), processes of individualisation, that is to say,
profiles drawn from statistical categories and differential risk, normalise and put under the
“ban” certain cases rather than others, and finalise the criteria to discriminate between
categories until each category is one unit only. However, as Bigo (2008: 101, emphasis added)
further explains, ‘the uniqueness is not based on the person, but on the category he represents,
and if it is not him, it may be his brother, its identity and subjectivity is not important for the
process’. Yet, at the limit of knowledge, intelligence becomes itself insufficient (Aradau and
van Munster, 2008b: 31). The Home Office official report on the 7/7 London bombings points
out this dilemma: nothing marked out the four men involved in the attacks, they were all
‘unexceptional’ (Aradau and van Munster, 2007: 27; see also HM Government, 2006). As the
underestimation of intelligence and knowledge is considered irresponsible from the viewpoint
of precautionary risk, the scope and field of intelligence needs to be enlarged accordingly
(Aradau and van Munster, 2008b: 31). Moreover, according to Aradau and van Munster (2007:
32) ‘profiling everybody is regimented into technologies of vigilance and prudentialism. We
are not only supposed to monitor our own behaviour, but detect signs of risk in the others’.
Lastly, where hyper-
reality describes the simulation of the real, the danger with the construction of terroristic futures
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is that they result in a condition of ‘hyper-riskality’, where creative visions of risk influence
meanings to the extent that the probability of threat is eclipsed by (imagined) fear of harm
(Mythen and Walklate, 2010a: 34). In a climate of ‘hyper-riskality’ it is suggested that cultural
representations and political narratives of risk mould material decisions about crime and
security regulation as much as firm evidence of tangible threats (Mythen and Walklate, 2010a:
34). To this end, the ‘failure of imagination’ within US security and intelligence services
reported by the 9/11 Commission (see United States Government, 2004) undoubtedly acted as
a catalyst for a shifting calculus of risk in the U.S which favours early intervention to prevent
potential harms (Mythen and Walklate, 2008). This trend is not exclusive to the United States
but has also been a particular feature of the political landscape in the UK and the EU. Tony
Blair’s post 7/7 assertion that “the rules of the game are changing” served as the harbinger for
an extensive programme of domestic securitisation coupled to international military
interventions, mobilised largely under the banner of the “war against terrorism” (Mythen et al.,
2012: 3). By inscribing the future as that which must be
secured above all else, this shift can be understood to have fundamentally challenged the
cacophonous post-Cold War debates concerning appropriate spatio-material “referent objects”
of security (Stockdale, 2011: 1). Subsequently, a number of key binaries which have
traditionally underpinned a states’ coercive capacities have been eroded and even reversed as
countermeasures are pursued that seek to anticipate threats before they emerge (McCulloch
and Pickering, 2009a; see also inter alia Zedner, 2007). What these observations imply is that
the post-crime orientation of criminal justice is increasingly overshadowed by the pre-crime
logic of security (Zedner, 2007: 261-2) since the possibility of forestalling risks foregrounds
what Cynthia Weber terms one’s “pre-thoughts” (Weber, 2007: 115, see also inter alia
Stockdale, 2014). Taking the argument further, Dillon (2005a: 3 cited in Murphy, 2012: 118)
suggests the ‘event of terror’ presents an ‘intended catastrophe’ which sees the return of
Descartes’ ‘evil demon’, signalling the limits of calculable knowledge, wrecking ‘the best risk
calculations’, he concludes, ‘you have to imagine the very worst’. The result is that material
evidentiary circumscriptions of the decisional process are diminished considerably, as the
sovereign decider is encouraged, or even compelled, ‘to take into account doubtful hypotheses
and simple suspicions ... to take the most far-fetched forecasts seriously’, since the Cartesian
“malicious demon” of catastrophe could emerge at any time and in any form (Ewald, 2002:
288). As Ewald (2002: 268) envisions, we should ‘out of precaution, imagine the worst
possible, the consequence that an infinitely deceptive malicious demon could have slipped in
the folds of an apparently innocent enterprise’.
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With the sovereign decision thus contingent upon imagined scenarios rather than
explicit knowledge, a condition emerges in which no future is considered impossible and thus,
by default, every individual - regardless of their particular characteristics - is a potential suspect
and is placed upon a ‘continuum of risk’ within the unlimited realm of the imaginary (Ericson,
2008: 66; see also Ewald, 2002). Moreover, it is argued that this logic of security illustrates
how liberal forms of rule are twisted into illiberal forms of knowledge collection, spatial
regulation and de-subjectivation (Opitz, 2004: 94). Consequently, the dispositif of insurance
recreates a governmental dispositif at the limit (Aradau and van Munster, 2007: 31), ultimately
tipping risk management towards a rather drastic mode of prevention.
3.5 Conclusion
This chapter has engaged with the notion of dispositif as emanating from Foucauldian analyses.
The chapter has explored several key tenets of Foucault’s original concept of dispositif and
attempted to provide perspective and conceptual clarity. The chapter has also drawn attention
to several central tenets of ‘governmentality’ read as ‘population’, ‘subjectification’,
‘circulation’, and ‘milieu’. The chapter has also engaged with an amalgamation of research that
departs from a traditional theoretical lens emanating from International Relations - scholarship
which argues for a different conceptualisation of risk for security studies. Exegeses of
Foucault’s work within a post-structuralist framework posit that the introduction of a dispositif
‘at the limit’ develops forms of accountability that take precautions against a politics of
generalised and arbitrary decisions at the limit of knowledge as a result of a double infinity of
risk in its catastrophic effects and the uncertainty of its occurrence (Aradau and van Munster,
2007: 33-34). What is new is a ‘precautionary’ element grafted onto existing risk management
structures. For such scholarship, security, then, is not a disciplinary dispositif, nor is it
surveillance through a panopticon; it is risk management at the limit. Whilst the parameters of
such are open to contestation, particularly in relation to governing the “ungovernable”, as this
chapter has made clear, what it means to govern (in)security and risk understood this way raises
a number of issues about the formulation of a critical stance in the war on terror (Aradau and
van Munster, 2007: 34).
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Chapter 4
Risk Society and Reflexive Risk
4.1 Introduction
This chapter departs from Foucauldian analyses of risk and examines the two major exponents
of the ‘risk society’ thesis: Ulrich Beck and Anthony Giddens in the context of broader social
theory of reflexivity,118 advanced modernisation and individualisation. Although they initially
118 There is nothing new about the concept of reflexivity. Adam Smith’s The Theory of Moral Sentiments, first
published in 1759, was dealing with something very similar in his considerations of ethical character (Webb,
2006: 35). Moreover, as Albert (2001: 66-67) notes ‘reflexivity’ in the sense of social awareness of risks has been
a constant characteristic of governmental processes. Nevertheless, what has changed significantly is the
reconfiguration of risk with the emergence of ‘reflexive modernity’.
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developed their diagnoses of risk and late modernity largely separately of each other, the
writings of Beck and Giddens have much in common: hence, the reason to consider them
together.119 The first
half of chapter explores several key parameters of the risk society thesis including Beck’s
optimism about the emergence of a cosmopolitan public sphere through ‘sub-political’ means;
the paradox of reflexive modernity and the ‘individualisation’ of risk. The chapter then turns
towards explaining the paradigm of ‘reflexivity’ through the work of sociologist Anthony
Giddens. Through Giddeon logic, the chapter explores postmodernity, which refers to the
epistemological dissolution of modern knowledge production and the corresponding
dissolution of identity (Hoogenboom and Ossewaarde, 2005). Specifically, the chapter
explores the concept of dis-embedding relations; the ontological (in)security of the ‘self’; and
the dynamics of risk and trust in postmodernity.
4.2 Ulrich Beck’s ‘Risk Society’
One of the most renowned attempts to grasp recent societal transformations; why and how the
risk society emerged and; to describe the conditions on existence within it (Danisch, 2011: 237)
can be found in Ulrich Beck’s ubiquitously cited Risk Society.120 Beck has developed powerful
analyses of the ways in which the rise of the risk society is transforming social reproduction,
nature and ecology, intimate relationships, politics and democracy (Elliott, 2002: 294).
Moreover, the ‘risk society’ has in many ways not only been posited as a visionary excursion
into our present condition, but also a prophetic perspective on the future (Adam and van Loon,
2000: 1). It is thus unsurprising that Beck’s highly original formulation of risk society has
continued to challenge the social science tradition whilst stimulating an eruption of interest in
the concept of risk itself (Mythen, 2005: 130). The risk society
perspective argues that the notion of risk has become a pervasive and integral aspect of the
modern condition (Beck, 1992a). In précis, the risk society aegis recounts an epochal shift from
industrial society to the risk society via a three-tiered historical typology through which
transitions in the composition and cognition of risk (or hazards are they are often termed) are
recounted (Mythen, 2007: 796): ‘pre-industrial’, ‘industrial’, and ‘risk’ societies (Beck, 1995:
78). The latter of these, ‘risk society’, argues Beck (1996: 28, 1999: 73, italics in original), ‘is
119 This is not to deny major divergences within their writings. 120 Beck has extended the ‘risk society’ aegis in Ecological Politics in an Age of Risk (1995); Democracy Without
Enemies (1998); and World Risk Society (1999).
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not an option which could be chosen or rejected in the course of political debate’. Instead, it is
an inescapable structural condition of advanced industrialisation through which the automatic
operation of autonomous modernisation processes or “hazards” of that system, in Beck’s
words, ‘undermine and/or cancel the established safety systems of the provident states existing
risk calculation’ (Beck, 1999: 77, italics in original).
As a driving force in political transformation and
individual action, Beck (2000: 13) is adamant that it is the ‘... perception of threatening risks
that determines thought and action’. For Beck (1992a), these risk perceptions create a
manufactured risk. Thus, Beck (2002b: 9) believes the development of techno-scientific
development (in line with capitalist modernisation) has served to intensify, not alleviate, risk
production. In Beck’s (2002b: 8-9) words, ‘with the technologies of the future - genetic
engineering, nanotechnology and robotics, we are opening a new ‘Pandora’s box’’. That is,
risks that are both created in a literal sense through inappropriate human action upon ‘plants
and animals i.e. the earth’ (Beck, 1992a: 13) in the first place, and secondly they are ‘...
decisions contingent, endogenous entities which are generated by the practice of people, firms,
state agencies and politicians’ (Beck 1992: 98).121 ‘Risks’, writes Beck (1997: 30), always
depend on decisions - that is, they presuppose decisions. Thus, in much of Beck’s writings he
demonstrates a realist approach to risk since risk, for him, is another word for hazard of danger
(Lupton, 1999: 61). This realist approach however, is not consistently maintained throughout
his work. In some parts of Beck’s writings, the social and cultural processes by which
understandings and perceptions of risk are mediated are highlighted, and therefore he
demonstrates a ‘weak’ version of social constructionism through an appreciation of “risk as
knowledge” (Lupton, 1999; see Beck 1999c: 21-31, 134-35).
In making sense of the risk society perspective, it is
important to clarify hazard from risk; a separation necessary by Beck’s own admission. For
Beck, in comparison to the temporally compact hazards arising in pre-industrial cultures, the
toxicity of contemporary security risks (hazards) are on an unprecedented scale since they
cannot be delimited spatially, temporally, or socially (Danisch, 2011: 239). Whilst Beck
(1992a: 21) posits that risk is a ‘... systematic way of dealing with hazards and insecurities
induced and introduced by modernisation itself’, Borne (2006) usefully articulates the
separation of risk, security and destruction, of which Beck envisages. In Borne’s (2006: 26)
121 Beck suggests such decision making is the responsibility of institutional elites in industry, labour, government
and civil society – planners charged with the task of calculating and assuming responsibility for the risks that
might befall the lives of others (Beck, 1994a).
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words, risk (under Beckidian logic) can be read as ‘the probability of an occurrence for a given
‘threat-hazard’, and the degree of susceptibility of the exposed to the source of that hazard –
vulnerability’. Moreover, as Borne (2006: 26) points out, ‘combined with these two elements,
a third can be added: the capacity of humanity to deal with these hazards’. Thus, Borne (2006:
26) articulates, ‘risk’, as presented in the World Risk Society, can be understood as follows:
Risk = Hazard (H) x Vulnerability (V)/ Capacity (C)
Importantly, Beck does not wish to suggest that daily life in the risk society is
intrinsically more hazardous than in the pre-modern world - a world characterised by famine,
plagues and natural disasters (Elliott, 2002: 295). Rather, for Beck, no notion of risk is to be
found in traditional culture; pre-industrial hazards or dangers, no matter how potentially
catastrophic, were experienced as pre-given (Elliot, 2002: 295). They did not lend themselves
to calculation in any systematic way but were instead attributed to such external factors as
divine provenance or cosmic fate (Beck, 1994a). However, with the beginning of societal
attempts to control, and particularly with the idea of steering towards a future of predictable
security, the consequences of risk become a political issue (Elliott, 2002: 296). Thus, for Beck,
the risk society emerges when:
‘The dangers of industrial society begin to dominate public, political and private debates and conflicts.
Here the institutions of industrial society become the producers and legitimators of threats they cannot
control. What happens here is that certain features of industrial society become socially and politically
problematic. On the one hand, society still makes decisions and takes actions according to the pattern
of the old industrial society, but, on the other, the interest organisations, the judicial system and politics
are clouded over by debates and conflicts that stem from the dynamism of risk society’ (Beck, 1994b:
5, emphasis in original).
In this sense, the risk society thesis documents the deleterious effects of environmental risks
on everyday life while paradoxically championing the emancipatory capacity of risk to
generate productive dialogue in the political sphere (Mythen and Walklate, 2008: 223).
As Mythen and Walklate (2005: 384) point out, ‘this ground shift is suggestive
of a wider point about social distribution. While the logic of the class society is sectoral - some
win and some lose - the logic of the risk society is universal: ultimately, everyone loses’. This
is because, according to Beck (1992a: 19), ‘the problems and conflicts relating to distribution
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in a society of scarcity overlap with the problems and conflicts that arrive from the production,
definition and distribution of techno-scientifically produced risks’. To put it differently, the
production of risk is subordinate to the production of wealth, to the extent that risks are taken
to be predictable and limited but necessary side effects of technical and economic progress
(Dean, 1999: 181). Beck (1992a: 49) concretises this historical transformation thus:
‘The dream of class society is that everyone wants and ought to have a share of the pie. The utopia of
the risk society is that everyone should be spared from poisoning ... the driving force in the class society
can be summarised in the phrase ‘I am hungry!’ The driving force in the class society can be summarised
in the phrase ‘I am afraid!’ The commonality of anxiety takes the place of the commonality of need’.
Making something of a chronological leap, Beck goes on to discuss the cultural profile
of risk in industrial society. In industrial society, the general public pressed political parties to
ensure the adequate distribution of “goods” (e.g. housing, health, employment, etc.)
Conversely, in the ‘post-needs risk society’ goods distribution is steadily augmented by public
concern about the overproduction of ‘bads’ (Beck, 1992a: 20), as typified by the Chernobyl
incident. In Beck’s (1996: 31) terms, ‘the injured of Chernobyl are today, years after the
catastrophe, not even born yet’. Moreover, as Beck (2002b: 4) puts it, ‘we, with our civilising
decisions, cause global consequences that radically contradict the institutionalised language
and promises of authorities in catastrophic cases worldwide’. Thus, environmental pollutions,
nanotechnology, human cloning and bioterrorism are sui generis defying temporal or
geographical enclosure (Mythen and Walklate, 2005: 283-284).
4.2.1 The Paradox of Modernisation
By postulating the emergence of new forms of temporally and spatially de-bounded risks, on a
perceptual plain, this is indicative of a movement away from differential class-consciousness
toward a universal risk-consciousness (Mythen and Walklate, 2005: 383). As Sanjay Reddy
(1996: 237) claims, ‘moderns had eliminated genuine indeterminacy or “uncertainty” through
the myth of calculability’. However, by the end of the twentieth century, these foundations of
risk logic, according to Beck, are subverted and suspended since manufactured risk shatters
extant methods of insurance (Beck, 1994b: 2). Industrial society is shaped by hazards that are
predictable and thus manageable through, for instance, insurance policies, welfare support
systems and legal rules (Mythen and Walklate, 2008). By contrast, the global risk society
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spawns conditions of extreme uncertainty whereby decision-makers are no longer able to
guarantee predictability, security and control. ‘[T]he hidden central issue in world risk society’,
Beck argues, ‘is how to feign control over the uncontrollable – in politics, law, science,
technology, economy and everyday life’ (Beck, 2002a: 41). Alternatively, as Aradau and van
Munster (2007) put it, control is ideological, doomed to fall short of the measure of reality.
Hence, how according to Beck, the violent force of ‘worst imaginable accidents’ (WIAs)
overpowers methods of institutional regulation (Mythen and Walklate, 2008: 228).
Beck posits a scenario in which
the forces of modernisation have generated a giant Hegelian contradiction. Paradoxically, the
more modernity produces goods, the more it produces harms of unprecedented magnitude
(O’Malley, 2004a: 324). Thus, for Beck, ‘risks’ are “man-made hybrids” (Beck, 1999: 146) or
“quasi-subjects”, whose acting-active quality is produced by risk societies’ institutional
contradictions (Beck, 1999: 150). As Beck (1999c: 199) states, ‘the more modern a society
becomes, the more unintended consequences it produces, and as these become known and
acknowledged, they call the foundations of industrial modernisation into question’. This, Beck
(1992a) terms, ‘the logic of the boomerang effect’ proliferates as an outcome of modernisation
itself. 122 Consequently, risk becomes symbolic due to the prerequisite of its perpetually
escalating character. Since risks, according to Beckidian logic, are ‘a bottomless barrel of
demands’, this process regenerates continuously. Thus, both risk and the perception of risk
increase because of the unintended consequences produced as modern societies seek the ‘logic
of control’ (Beck, 1999c: 139). In Beck’s much cited terms, ‘the more we attempt to “colonize”
the future with the aid of the category of risk, the more it slips out of our control’ (Beck, 1999c:
139). This damaging cyclical effect is what Beck calls ‘reflexivity’
(Beck, 1999: 109). Summing up the emergence of reflexivity, Beck (2000b: 81) states, ‘the
conditio humana opens up new - with fundamentally ambivalent contingencies - complexities,
uncertainties and risks which, conceptually and empirically, still have to be uncovered and
understood’. This is what Beck (1992a: 56) names a ‘system-immanent normal form of the
revolutionising of needs’. Characteristic of this process is a referential but self-sustaining
interplay between risk and economy. In other words, fear and its satiations are merely symbolic
and ‘independent of (their) context of satisfying human needs’ (Rigakos, 1999: 140).
122 Lupton (1999: 13) succinctly sums up this situation thus: ‘strategies which attempt to tame risk often have the
paradoxical effect of increasing anxiety about risk through the intensity of their focus and concern’.
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4.2.2 Reflexive Modernity According to Beck123
Drawing upon the work of Beck, Elliot (2002: 297) observes, ‘the most striking limitation of
social theories that equate modernity with industrial society lies in their lack of comprehension
of the manner in which dangers to societal preservation and renewal infiltrate the institutions,
organisations and subsystems of modern society itself’. In contrast to this grand consensus on
modernisation, Beck (1992a; see also Elliott, 2002) argues that we are between industrial
society and advanced modernity, between simple modernisation and reflexive modernisation.
He describes the consanguinity between risk and modernisation thus:
‘The concept of risk is directly bound to the concept of reflexive modernisation. Risk may be defined
as a systematic way of dealing with hazards and insecurities induced and introduced by modernisation
itself. Risks, as opposed to older dangers, are consequences which relate to the threatening force of
modernisation and to its globalisation of doubt. They are politically reflexive’ (Beck, 1992a: 21,
emphasis in original).
Moreover, in later writings, Beck develops these distinctions where he states:
‘In view of these two stages and their sequence, the concept of ‘reflexive modernisation’ may be
introduced. This precisely does not mean reflection (as the adjective ‘reflexive’ seems to suggest), but
above all self-confrontation. The transition from the industrial to the risk epoch of modernity occurs
unintentionally, unseen, compulsively, in the course of a dynamic of modernisation which has made
itself autonomous, on the pattern of latent side effects. One can almost say that the constellations of risk
society are created because the self-evident truths of industrial society (the consensus on progress, the
abstraction from ecological consequences and hazards) dominate the thinking and behaviour of human
beings and institutions’ (Beck, 1996b: 28).
Indeed, Beck finds an ideology of progress concealed within dominant social theories that
equate modernisation with linear rationalisation (Elliott, 2002: 296). In Beck’s opinion, the
123 This chapter does not critically examine the theoretical quandaries and inner-contradictions of Beck or
Giddens’ work. For instance, Beck’s hyperbolic style translates as a ‘hermeneutic leap’ from macro processes to
assumed subjective experience, which is not based on empirical substantiation. Moreover, Beck’s understanding
of the politics of community does not acknowledge either hierarchical or discursive forms of power. Thus, Beck
homogenises the concept of reflexivity across a horizontal line of structure and agency. However, it is likely that
the range, intensity and quality of individualisation will be mediated by embedded forms of stratification rather
than reflexive processes as understood through nebulous structuration. Likewise, Giddens has been criticised for
his “anything goes” outlook to social reality. Not only have such critical analyses been conducted elsewhere, but
the limitations of both authors’ work are not a central concern of this thesis.
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prevailing irrationality can be overcome only by way of rationality. As Beck (1997 [1993]:
126, 1994b: 33) notes: ‘it is not an excess of rationality, but a shocking lack of rationality, the
prevailing irrationality, that explains the ailment of industrial modernity. It can be cured, if at
all, not by a retreat, but only by a radicalisation of rationality, which will absorb the repressed’.
Overall, Beck’s theory of reflexive modernisation can be read as an attempt to
reformulate and develop critical theory’s critique of rationality and science within a new social
and historical context (see Beck, 1994b). Unlike critical theory however, Beck points to the
fact that goal-rationality (instrumental reason) - because of its unpredictable and incalculable
side effects - tends to go beyond itself and become a reflexive and ‘self-critical’ post-goal-
rationality (Post-zweckrationalita¨t):
‘Risk rationality develops an existential ‘logic’ of shock, suffering and pity on a global scale in
opposition to the ‘instrumental rationality’ which Max Weber places at the centre of his sociology and
Horkheimer and Adorno and, most recently, also Jurgen Habermas have criticised (albeit in completely
different ways). One could say that risk reflexivity – or, more generally, reflexive modernisation – is
an ambivalent, realist critique of instrumentally stunted reason. Here in key domains of social
rationalisation it can be empirically and theoretically demonstrated how the radicalisation of modernity
leads to a self-confrontation, self-delegitimation and self-transformation of instrumental rationality’
(Beck, 2009a [2007]: 198-9; 1994a: 9).
Accordingly, this reflexivity ushers in a new stage of modernity that brings with it a reordering
of social institutions based around the distribution and management of risks (Beck and Willms,
2004: 195). The question then becomes how to summarise the Beckidian concept of
‘reflexivity’? Importantly, Lash (1994a: 200) stresses that Beck (1992a) distinguishes between
reflexivity and the notion of reflection, where reflexivity is ‘like a reflex. It is neither
individualistic nor conscious nor internal’. Furthermore, reflexivity involves a representative
rather than a participatory democracy, so that there is little space for the influence of social
movements or politicised identities on decision-making processes or forms of expertise (Lash,
1994: 259). As Spalek (2009b: 186), drawing upon the work of Lash (1994), observes:
‘Reflexivity can include reflection, where reflection might be thought of in terms of individuals,
collective groups and/or institutions intentionally and rationally reflecting upon the part that they play
in the perpetuation of identified social problems as well as reflecting upon ways in which they can
intervene and act so as to minimise harms’.
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Beck (1999a: 109; 1994c: 175-8) however, is critical of both Giddens’ and Lash’s
inclination to conceive of reflexive modernisation as a conscious process mediated by
knowledge (reflection) (Rasborg, 2012: 14, italics in original). Beck does not disagree with
Giddens and Lash - in that knowledge plays an important role in reflexive modernity. However,
as Rasborg (2012: 14) observes, contrary to Giddens and Lash, Beck emphasises that the
‘medium’ of reflexive modernisation (to a large extent) is unawareness, in as much as risk must
be seen as the unintended consequences of industrial modernisation (reflexivity):
‘What distinguishes my concept of reflexive modernisation from those of Giddens and Lash? To put it
briefly and pointedly: the ‘medium’ of reflexive modernisation is not knowledge, but - more or less
reflexive - unawareness. It is this aspect of the distribution and defence of unawareness (Nichtwissen)
that opens the horizon of inquiry for non-linear theories (of reflexive modernisation). We live in the age
of unintended consequences, and it is this state of affairs that must be decoded and shaped
methodologically and theoretically, in everyday life and politically’ (Beck, 1999: 119; 2007: 224).
Beck thus makes a distinction between, on the one hand, reflexivity - understood as the
confrontation of modernity with its own results (risk) - and on the other reflection - understood
as a possible awareness of the ‘self- destructive potentials’ of the (world) risk society (Beck,
1999b: 73; 1999: 109–12; 2007: 219). Whereas the first notion refers to a structural reflexivity,
the second refers to individual (self) reflection. In relation to the former, structural reflexivity
refers to the “self-undermining” and “self-transforming” effects of the natural logic of
industrial development (Beck, 1994a: 174–183). The industrial dynamic quasi-autonomously
leads to a social stage in which the guiding ideas and core institutional responses of the first
modernity (e.g. the gender-imbalanced nuclear family, the ideal of standardised full
employment, the abundant exploitation of nature in the name of progress) no longer appear
self-evident or infallible (Beck, 2001: 23–24). For Beck,
reflexive modernity also means the self-confrontation with the effects of risk society in as far
as the reflexive self calls itself into question. ‘Within the horizon of the opposition between old
routine and new awareness of consequences and dangers’, writes Beck, ‘society becomes self-
critical’ (Beck, 1999c: 81). In effect, reflexivity is the turning back on oneself and a form of
self-evaluation within the contingencies and uncertainties of risk society (Lawson, 1985, as
cited in Webb 2006: 36). Downplaying the evident limitations of this categorisation, it is the
autonomous, compulsive dynamic of advanced or reflexive modernisation that leads to the
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increasing ability people have to self- confront and therefore transform, the social conditions
in which they exist (Beck 1992: 197). Thus, self-reflexivity, or the individual reflection of these
changing institutional conditions, involves a shift from former heteronomous or collective
monitoring of agents to the autonomous, active, and permanent self-monitoring of individual
life narratives (Beck and Beck-Gernsheim, 2002: 35; Lash, 1994b: 115–116).124
In this way, Beck (1999b: 73; 2007: 219) is able to point
out that the transition from industrial society to the (world) risk society occurs in a ‘reflex-like’
way, rather than as a conscious and intentional process of which agents are fully aware. In other
words, the reflexivity of the (world) risk society, in Beck’s opinion, does not necessarily imply
an increasing reflection in the sense of an increasing awareness of risk (Rasborg, 2012: 15).
Rather, society, as Beck (1994b: 8; 1992: 19) puts it, ‘becomes a theme and a problem for
itself’. Thus, for Beck (1994b: 5-8), it is exactly this ‘self-confrontation’ that makes modernity
‘reflexive’. Dean (1999: 181) usefully sums up this process thus: ‘to speak of reflexivity is not
to say that society has become more reflective or thoughtful or necessarily better informed
about decision-making. Rather it is to say that modernity finds itself in reflexive state of “self
confrontation”’. Ultimately, then, Beck’s account of reflexive modernity is not (or not only) a
realist account of the emergence of new risks; it is an assessment of the social construction of
risk that accompanies the multiplication and dissemination of measures for the calculation and
assessment of risks, and the consequences of such technologies and knowledge on everyday
subjectivities (Binkley, 2009: 92). Whilst Beck’s early elaborations of
reflexive modernity stress that reflexive modernity is ‘reflection free’ (see Beck 1995: 176), as
Lash (1994a: 176-7) points out, in later writings, Beck develops the distinction between
reflexivity (self-dissolution) and reflection (knowledge): ‘(r)eflexivity of modernity can lead
to reflection, but it need not do so’. Thus, as Beck’s work develops, the reflexive and reflective
domains begin to converge into what Elliott (2002) terms strong and weak forms of reflexivity.
A strong reflexive position maintains that reflexivity occurs because of institutional dynamism,
which results from purely unintended consequences (Borne, 2010: 22). A strong reflexive
position linked to ‘self-reflexivity’ is associated with Beck and Beck-Gernsheim’s Das ganz
normale Chaos der Liebe and Giddens’ Modernity and Self-Identity and The Transformation
of Intimacy. This form of reflexivity neatly fits a shift to the autonomous monitoring of life
narratives and of love relationships (Lash, 1994b: 115-116). However, a weak form of
124 This should not be read as confronting a complete rupture between two historically different social forms, but
that we increasingly come to live in a social environment that is characterised by a mixture of collective and
reflexive features (Hustinx and Lammertyn, 2003: 171).
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reflexivity would suggest a combination of reflex and reflection, ‘... a partial and contextual
interaction of dissolution and reflection’ (Elliott, 2002: 302).
Lastly, according to Beck, unlike in the pre-industrial era where
natural hazards are said to emit tangible effects that ‘assault the nose and eyes’ (Beck, 1992a:
21), anthropogenic risks in the present day become more potent: the ‘social explosiveness of
hazard’ ensures that large-scale incidents are routinely reported by the mass media (Beck,
1999c). As a result, the damaging consequences of manufactured risks begin to dominate the
‘public, political, and private debates’ (Beck, 1999c: 144) which subsequently arrest the public
imagination, leading to general discontent with the operations of expert institutions (Larana,
2001: 26, cf., Giddens, 1990). In chorus with the assessment of what Joost van Loon (1998)
calls ‘virtual risks in an age of cybernetic reproduction’, Beck stresses ‘only by thinking of risk
in terms of reality, or better, a becoming-real (a virtuality) can social materialisation be
understood’ (Beck, 1999c: 136, emphasis in original). Moreover, according to Beck, a crisis
in the legitimacy of modernisation processes themselves is exacerbated by a widespread
reflection on the unintended consequences of this project, which includes a generalised sense
of insecurity about personal future(s) (Binkley, 2009: 92). Consequently, for Beck, the scale
and extent of manufactured threats force citizens to consider risk in political terms.
4.2.3 Sub-Politics
For Beck, the concept of reflexive modernisation signals a ground shift in cultural goals and
political objectives where global institutions and individuals compete for political space125 -
something Beck terms ‘sub-politics’. The ‘hidden substratum’ of modernity, Beck believes,
will be subject to cosmopolitanism from below generated through ‘sub-political’ means (Beck
et al., 1994: vi). Beck (1999d: 32) argues that ‘people have passed a kind of crash course in the
contradictions of hazard administration in risk society ... They have learned more information,
more vividly and more clearly than even the most critical critique could ever have taught them
or demanded of them’. Society, in effect, seeks to reclaim ‘the political’ from its modernist
relegation to the institutional sphere by locating the politics of risk at the heart of forms of
social and cultural life (Elliot, 2002: 297). Beck (1992a: 227)
125 Some critics have suggested an overemphasis on this development and thus the concept embodies nothing
more than a “business as usual mentality”. Nonetheless, the transformation to a reflexive modernity suggests a
society that is innately aware of the inappropriate development patterns that are based on the central tenets of
modernity (Borne, 2006: 37, emphasis in original).
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champions a system of differential or ‘sub-politics’ in which ‘politics becomes generalised and
centreless’. In its purest form, ‘sub-politics means ‘direct’ politics – that is, ad hoc individual
participation in political decisions, bypassing the institutions of representative opinion-
formation’ (Beck, 1999c: 39). Through direct actions - including protest marches, blockades,
petitions and consumer boycotts - individual citizens are able to combine in order to contest
both national policies and wider global issues (Mythen, 2007: 796-799). In addition, there are
no expert solutions in risk discourses because experts can only supply factual information and
are never able to assess which solutions are culturally acceptable (Beck, 1996a: 20). Politics,
therefore, ‘gains priority over expert reasoning’ (Beck, 1999c: 42).
Ultimately, for Beck, the reinvention of politics arises
from the flow of information generated from the agent upward by the process of reflexive
monitoring (Dodd, 1999: 199; cf., Giddens, 1994b: 15). This, Beck argues, allows individuals
from outside the political system to appear on the ‘stage of social design’, as do collectivities
(Ferguson, 2003: 207). Thus, Beck’s thesis envisages the emergence of an informed and active
citizen galvanised by risk into the practices of ‘cosmopolitan political realism’ (Mythen and
Walklate, 2010b). In essence, the burden of risk migrates from the jurisdiction of institutions
to the individualised sphere of personal decision-making (Mythen, 2005: 130). These
underlying transitions in the nature and the experience of risk encourage Beck to beckon in ‘a
new mode of societalisation, a “metamorphosis” or “categorical shift” in relation to the
individual and society’ (Beck, 1992a: 127).
4.3 Risk and Individualisation
‘We are damned to choose’ (Beck and Beck-Gernsheim, 2002: 163).
Whilst Beck is clearly uneasy about techno-scientific development(s), the arrival of reflexive
modernisation is not wholly about risk; it is also about the expansion of choice (Elliott, 2002).
For if risks are an attempt to make the incalculable calculable, then risk monitoring presupposes
agency, choice, calculation and responsibility (Elliott, 2002: 298). Thus, Beck’s ‘risk society’
is not restricted to technological risks, but is also concerned with societal self-transformation
from within by processes of individualisation 126 and institutionalised individualism
respectively (Beck and Beck-Gernsheim, 2002: xxi). In
126 For Beck (1992a: 90, 127, italics in original) “individualisation” is understood as a new contradictory mode
of societalisation.
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permeating analogous spheres of cultural experience, the individualisation process intertwines
with lifestyle choices, the undermining of class identities, life course/biography (de-
standardisation) and the development of diverse and reflexive life paths (Mythen, 2005: 136;
see also Beck et al., 1994). Accordingly, the cultural ubiquity of risk on daily life feeds a
process of individualisation through which individuals become responsibilised into a perpetual
process of decision-making and inured to make personal risk assessments (Hudson, 2003: 44).
Thus, for Beck (1994b: 14), individualisation means ‘the disintegration of the certainties of
industrial society as well as the compulsion to find and invent new certainties for oneself and
others without them’. Moreover, processes of individualisation are dependent on decision-
making as it assumes agency - the ability to shape one’s destiny through self-determination and
identification (Lupton, 1999). As Beck (1992a: 87; see inter alia Lupton, 1999) puts it, there
has been ‘a social surge of individualisation in which people have become compelled to make
themselves centre of the conduct of life, taking on multiple and mutable subjectivities’. Thus,
individualisation can be read as a social transformation that is both complex and ambiguous:
‘seen from one angle it means freedom to choose, and from another pressure to conform to
internalised demands, on the one hand being responsible for yourself and on the other
dependent on conditions which elude your grasp’ (Beck and Beck-Gernsheim, 1995: 7).
For Beck, the ‘individualisation of risk’ comes
with many of the features of reflexive modernisation as individuals are increasingly encouraged
to adopt lower thresholds of risk tolerance, to extend their awareness of the temporality of their
own actions into a far-reaching future and to incorporate a self-distancing regard for their own
conduct in the face of uncertain outcomes (Binkley, 2009: 87; see Beck, 1992a, 1994; Beck
and Beck-Gernsheim, 1995, 1996). Hence, how individualisation is fraught with risk (Beck
and Beck-Gernsheim, 1995). According to Beck, ‘in the individualised society, the individual
must ... learn, on pain of permanent disadvantage, to conceive of himself or herself as the centre
of activity, as the planning office with respect to his/her own biography, abilities, orientations,
relationships and so on’ (Beck, 1992a: 135; see also Beck-Gernsheim 1995, 1996).
Furthermore, for Beck, individualisation is depicted as a multifaceted process, which
underscores transformations in personal relationships, family structure, education and
employment (Beck, 1992a: 127; 1998: 169; cf., Giddens, 1990, 1991).
The general thrust of the theory of individualisation is that ‘given’ forms of
collective identity have been eroded and are being supplanted by more ‘open’ practices of
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personal choice under heightened levels of societal reflexivity. 127 Thus, ‘do-it-yourself’
biographies become the prevalent form of cultural determination (Beck, 1994b: 15) via
‘reflexivity’. Moreover, according to Beck, heightened levels of reflexivity stems from the
dynamic interplay of a number of social changes that are increasingly characteristic of late
modernity (Adams, 2006: 512). Paramount to the emergence of a reflexive modernity is the
analysis of contemporary interconnectedness between reflexive globalisation and accentuating
individualisation, to the extent where the global becomes the local and the personal becomes
the political (Smith et al., 1997). As Beck puts it, the world risk society thus unleashes a
‘cosmopolitan moment’ in which ‘global risks force us to confront the apparently excluded
other, tearing down national barriers and mixing natives with foreigners’ (Beck, 2009a: 15,
[2007]; see also Beck and Sznaider, 2006). Thus, heightened levels of reflexivity lead to a
situation where nothing can be taken for granted as simply ‘the way things are done’ (Gergen,
1991: 48-80). That is to say, reflexivity disassembles autopoiesis and reassembles
communication flows into hybrid systems (Beck, 2009b: 12). In light of
Beck’s observations, important work on theorising human agency and reflexivity has
followed.128 For instance, according to Ray (1999: 258), drawing on the works of Lash and
Urry (1994) and Castells (1996):
‘The same processes of modernity/globalisation create the conditions in which context can be
reconstructed: global flows of goods, people and information present us with potential lifestyle choices;
the critical legacy of the Enlightenment eventually led to the emergence of critiques of
modernity/progress manifested in New Social Movements such as environmentalism and feminism’.
Moreover, the new conditions for the construction of self/social identity cover ‘the recasting of
meaning in work and leisure’, ‘the reconstitution of community and the particular’ and ‘the
heterogenisation of complexity of space and everyday life’ (Lash and Urry, 1994: 3). This has
led to the assertion that reflexivity increasingly constitutes self-identity in late modern societies
(Adams, 2006: 512; see also Giddens, 1991).
According to Beck, it is a lack of social structures which establishes itself as the basic
127 This refers generally to the ability to act in the world and to critically reflect on our actions and in ways that
may reconstitute how we act and feel and even reshape the very nature of self-identity itself (Ferguson, 2003:
199). 128 Cf., Bauman (1992: 134) who characterises postmodernity as the ‘age of contingency fur sich, of self-conscious
contingency where postmodernism represents a crystallisation of and contribution towards this self-
consciousness’.
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feature of the social structure (Beck and Beck-Gernsheim, 2002: 51) - resulting in a post-
traditional and individualising society (Adams, 2006: 512). In contrast to the era of ‘simple
modernity’, for Beck, a space has opened up which provides greater autonomy for subjects to
define their identities while interacting in new ways with ‘expert systems’ (Ferguson, 2003).
However, Beck’s notion of individualisation is a complex phenomenon, and, as Borne (2006:
92) points out, much of Beck’s work is easily misunderstood. Importantly, individualisation
processes do not mean that individuals live autonomous lives free from social regulation, nor
is this continuing enhancement of “self-reflexivity,” synonymous with a picture of fully
autonomous “self-programmable individuals” (Castells, 2000b: 19). Beck makes clear
individualisation does not mean ‘... atomisation, isolation, loneliness, the end of all kinds of
society, or unconnectedness’ (Beck, 1994a: 13). Thus, individualisation does not suggest a
separation from society, but rather a reconstitution of the fundamental tenets of the relationship
between institutional structures and individual activity (Borne, 2006: 92). Essentially, it is less
about subjective consciousness and identity (Beck, 1992a: 128). To clarify this,
Beck refers to an institutionalised individualisation, which in many ways turns the notion of
individualisation on its head, actually referring to a collective social structure (Borne, 2006:
92). The biographical consequences of late modernity are on the contrary, understood in terms
of growing ambiguity and precariousness (Hustinx and Lammertyn, 2003). For Beck, increased
individual freedom of choice intrinsically implies more uncertainty and risk and thus brings
about ‘precarious freedoms’ in a Butlian sense (Beck and Beck-Gernsheim, 1996, 2002, see
inter alia Butler, 2006). Hence, the possibility of a “breakdown” of biography (Beck, 1992a:
12; Beck and Beck-Gernsheim, 2002). Thus, individuals, Beck maintains, although unable to
escape structural forces in general, can decide on which forces to act and which to ignore
(Skeggs, 2004: 80). This, Beck argues, does not create a ‘free’ individual; rather, it creates
individuals who live out, biographically, the complexity and diversity of the social relations
which surround them (Skeggs, 2004: 80). It is this ‘self’, this biographical production, that
Beck calls ‘reflexive modernity’.
4.4 Reflexive Action According to Anthony Giddens
Anthony Giddens is another prominent sociologist who has based a substantial part of his
analysis of late modernity on the notion of risk. Giddens, like Beck, emphasises that risk is a
specifically modern phenomenon that is caused by human intervention in nature and, in a wider
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sense, by the increasing de-traditionalisation and institutional reflexivity of late modern society
(see Giddens, 1990, 1991). Thus, for both Beck and Giddens, we are witnessing the transition
from modern society to late modern society based on ‘reflexivity’.
Whilst Beck foresees a future of uncertainty and potentially catastrophic dangers,
Giddens tends to paint a more positive picture of the new type of society we are about to enter
(through an emphasis on the realisation of individual identity) (Hoogenboom and Ossewaarde,
2005: 608). Whereas Beck advocates the ‘risk society’ is shaped by a reflexive modernity
because of the inability of bureaucracies to control the political awareness of science and
technology, Giddens stresses the part played by individuals in this process of liberation from
bureaucratic control (Hoogenboom and Ossewaarde, 2005: 608). Giddens (1990) likens this
social change as expressed through a restructuring of time and space; a ‘dis-embedding’ of
expert systems; and as a radically increased reflexivity (see Giddens, 1990). Moreover, in his
analysis of late modernity, Giddens is focussing on the second level of transformation: the
growing ability of individuals to rid themselves of the shackles of old ties, to master reality,
and to a certain extent, choose their own life course(s). Thus, whilst Giddens is a scholar very
much influenced by the thought of Beck, he advances perhaps a more optimistic reading of
individualisation through his notion of a failure of trust within expert systems.
According to Giddens (1998a: 27;
1999: 26), early modernity, which by and large was coincident with industrial society, was
dominated by ‘external risks’, that is, risks that could somehow be perceived as independent
of the actions of the individuals, that could fairly well be calculated, and that could therefore
also be subjected to actuarial tables (e.g. unemployment, sickness, etc.). Further, for Giddens,
reflexivity within ‘new’ modernity (or what is sometimes called late or postmodernity)129 is an
advanced staged of modernity, which is distinguished from classical or industrial societies and
from reflexive modernity. Specifically, Giddens suggests it is the proliferation of an everyday
culture of risk which places burdensome demands upon the self, forcing individuals to
habitually make reflexive choices (Hudson, 2003: 44) in light of new information and
knowledge (Giddens, 1991). In this way, self-reflexivity, distinguished from structural-
reflexivity, is a state of mind in which the agent increasingly mediates and navigates through
the institutions and values of the social world as well as a more introspective reflection on the
self and personal identity (Green, 2009: 181; see Giddens, 1991). Thus, whilst remaining aware
129 As Giddens (1990: 45-46) puts it, ‘postmodernism concerns aspects of aesthetic reflection upon the nature of
modernity ... postmodernity means that the trajectory of social development is taking us away from the institutions
of modernity towards a new and distinct type of social order’.
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of the obvious divergences between Beck and Giddens’ sociology of risk, the concept of
reflexivity plays an important part in both authors’ dialogue. As Lash (1994b) observes:
‘What indeed, it might be wondered, is ‘reflexivity’? To this question two answers must be given. First
there is structural reflexivity in which agency, set free from the constraints of social structure’ then
reflects on the ‘rules’ and ‘resources’ of such structure; reflects on agency’s social conditions of
existence. Second there is self-reflexivity in which agency reflects on itself. In self-reflexivity, previous
heteronomous monitoring of agents is displaced by self-monitoring. Beck’s Risk Society and Giddens’
Consequences of Modernity mainly address structural reflexivity. Beck here foregrounded reflexivity
on the institutions of science in the framework of ecological critique, while Giddens’ focus is more
general reflexivity regarding the rules and resources of society. (Lash, 1994b: 115-116).
4.4.1 The Uncertainty of Knowledge: Ontological (In)security
Although Beck has achieved fame for the concept of the risk society, insecurity is far more
basic to Giddens’ problematique (Lash, 1994: 117, italics in original). Importantly, Giddens
draws on ethnomethodology for his idea of hermeneutically mediated reflexivity. Giddens
defines ontological security as an emotional phenomenon, incorporating ‘confidence that most
human beings have in the continuity of their self-identity and in the constancy of the
surrounding social and material environments of action’ (Giddens, 1990: 90). Giddens (1990:
117), in effect, asks ‘how do we consciously achieve ontological security?’ According to
Giddens, the modern world is a world where even knowledge is uncertain. At the very same
time, that knowledge is reflected upon and thus appropriated it is likely to be revised still further
and yet new forms of knowledge emerge (Green, 2009: 191).
Converging (to a degree) with Beckidian logic, according to Giddens, attempts to
monitor targeted behaviour(s) so as to control future happenings (and increase security)
paradoxically expose new categories of ‘risk’ which must then, in turn, be assimilated and
harmonised within institutional frameworks (Donoghue, 2008: 347). Giddens likens this
condition to ‘being aboard a careering juggernaut’, where social practices and institutions in
the modern world are unstable, disembodied and unpredictable (Green, 2009). In Giddens’
words:
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‘To live in the ‘world’ produced by high modernity has the feeling of riding a juggernaut. It is not just
that more or less continuous and profound processes of change occur; rather, change does not
consistently conform either to human expectation or to human control’ (Giddens, 1991: 28).
Drawing upon the work of Giddens, Green (2009: 181) observes increased reflexivity or in
Giddens’ terminology ‘riding the juggernaut’ goes hand in hand with increased vulnerability,
or at the very least, an increased perception of vulnerability, which manifests itself in
ontological insecurity and anxiety (see also Giddens, 1991). The rapid change and institutional
reflexivity of late modernity, in other words, threatens ‘ontological security’ that, in Giddens’
(1991) view, is a condition for the creation of a coherent self-capable of coping with the
complexity of late modernity. Thus, pre-modern dangers and external risks are, to a large
degree, replaced by ‘manufactured uncertainty’ (Giddens, 1994b: 78, 152, 219; 1998b: 28;
1999: 26-8) - that is, an existential uncertainty found in societies where traditional certainties
are eroded as a consequence of the ‘end’ of tradition and the ‘end’ of nature (Rasborg, 2012:
9). Hence, late modernity is an uncomfortable and insecure world, subject to both local and
global hazards, at least partially severed from the concrete and comfortable structural
certainties of modernity (Green, 2009: 181). For
Giddens, modernity then, as a reflexive social order, ‘manufactures’ its own (i.e. internally
referential) risks and uncertainties in a different way to previous times (Webb, 2006). In a
postmodern fashion, we are confronted with ‘high-consequence risks’ that refer to global
threats to the environment caused by human intervention in nature (holes in the ozone layer,
global warming, etc.,) (Giddens, 1994b: 78, 152 and 219). However, much like assertions made
by Beck, this new structure of risk does not necessarily mean that ‘real riskiness’ altogether
has increased in late modern society (Giddens, 1991: 114–17; 1998b: 27). On the contrary,
increasing life expectancy indicates that a risk-reduction has occurred with regard to the basic
life security (Nielsen, 1996: 182). Thus, overall, it seems more appropriate to say that late
modernity is characterised by a change of the ‘risk profile’, from dangers determined by nature
to man-made risks (Giddens, 1994b: 4; 1999: 36). Giddeon logic also
suggests that the welfare state as an ethos of government has been severely undermined by the
onset of the advanced liberal politics. According to Giddens, the welfare state and its universal
social services have gradually withered away to be replaced by much more individualistic
rationalities of governance (Webb, 2006). Accordingly, a market rationality in all spheres of
human action relating to individual choice, responsibility and freedom, is valorised (Webb,
2006). Active citizenship is encouraged with individuals being increasingly held responsible
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for managing and calculating their now risk (Webb, 2006: 338-39). However, for Giddens (and
much like Beck), risk in a post-traditional order is about individually ‘colonising the future’
(Giddens, 1991); those who are unable to do so subsequently fall into the category of ‘targeted
populations’ requiring forms of intervention and/or protection (Ferguson, 2001: 39; cf., Dean,
1999: 167). Ultimately, if modernisation presupposes increased individualisation, then these
individuals - less controlled by tradition and convention - will be increasingly free also to be
in heterodox opposition to the dystopic consequences of modernisation (Lash et al., 1996: 113).
Thus, regardless of whether they are accentuated as institutionalised behavioural expectations
or biographical self-interpretation, as symbolic self-classification or intersubjective self-
aspiration (Ziehe, 1992: 102, as cited in Lash et al., 1996: 195), what is demanded of
individuals in every case is cognitive, social and affective competences which, practically
coerce them to form and expand reflexive self-relations (Lash et al., 1996: 195, emphasis
added).
4.4.2 Identity: The Reflective Self
‘Awareness of risk seeps into the actions of almost everyone. Everyday life is experienced as situated
calculations about the possibilities for action and as a dialectic of counter-factuals. Risk discourse tells
them what to do and who to be. The self itself ‘becomes reflexively understood by the person in terms
of her or his biography’ (Giddens, 1991: 11, 53, adapted by the present author).
For Giddens, when trying to understand the progression towards postmodernity there is a
second aspect of equal importance: reflexive social action is governed by the question how the
actor is supposed to express his identity (Hoogenboom and Ossewaarde, 2005: 608). According
to Giddens (1991), a prerequisite of late modernity is self-reflexivity: a condition whereby
individuals perpetually consider their self-identity. Giddens (1991: 5) summarises ‘reflexivity
of the self’ as follows:
‘The reflexive project of self, which consists in the sustaining of coherent, yet continuously revised,
biographical narratives, takes place in the context of multiple choice as filtered through abstract
systems. In modern social life, the notion of lifestyle takes on particular significance’.
Moreover, with formulaic truths and local tradition undermined as pre-given and fixed
ontological frameworks for the construction of ‘self’ identity (and enhanced by a greater social
mobility), responsibility is transferred to the individual (Ray, 1999 258). Hence, the reflective
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project of the ‘self’ (Giddens, 1991, 1994). More precisely, ‘self’ identity has come to be a
product of the interpenetration of self-development and social systems.
The realisation of late modern society through an optimistically configured reading of
biographical identity construction is central to Giddens’ ‘third way’: ... state institutions must
now develop concurrently with the idea of the ‘self-monitoring individual’ and the ‘reflexive
agent’ (Giddens, 1991; see inter alia Giddens, 1998a, 2000). The reflexivity of modernity,
then, is transposed from this structural level into the fabrics of personal existence, from
institutions to the rational outlooks of a calculating individual (Binkley, 2009: 92-3). Amidst
the rubble of radical and unsettling social upheavals we do not simply find postmodern
dissolution, despite some commonalities with the conception of selfhood found in versions of
that movement, but a flexible, authored self, more open, transparent and above all, reflexive
(Adams, 2006: 512). As Giddens (1991: 14) observes:
‘Each of us not only ‘has’, but lives a biography reflexively organised in terms of flows of social and
psychological information about possible ways of life. Modernity is a post-traditional order, in which
the question ‘How shall I live?’ has to be answered in day-to-day decisions’.
Drawing upon the work of Giddens, Ray (1999: 258) outlines that self-identity works
reflexively as individuals are able to, and indeed have to, choose, change and reflect on their
identity/identities (although the choices are not limitless). Moreover, for Ray (1999: 258),
individuals are ‘able to’ do so thanks to the liberating effect of ‘living in a post-traditional
world’ in which individual choice is driven by the everyday exposure to other cultures, liberal
ideology and marketing images. Conversely, the act of choosing also becomes imperative to
the human condition, as a strategy to cope with the threat of existential isolation and personal
meaningless posed by late modernity (Ray, 1999: 258). As Giddens (1991: 215) articulates:
‘The narrative of self-identity has to be shaped, altered and reflexively sustained in relation to rapidly
changing circumstances of social life, on a local and global scale. The individual must integrate
information deriving from a diversity of mediated experiences with local involvements in such a way
as to connect future projects with past experiences in a reasonably coherent fashion. Only if the person
is able to develop an inner authenticity – a framework of basic trust by means of which the lifespan can
be understood as a unity against the backdrop of the shifting social events – can this be attained. A
reflexively ordered narrative of self-identity provides the means of giving coherence to the finite
lifespan, given changing external circumstances’.
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Giddens (1991) maps out some of these ‘dilemmas of the self’ where each person must
navigate between the emancipatory qualities of late modernity and the fragmented, uncertain
and potentially meaningless search for self in an increasingly unregulated world (Green, 2009:
196). As Green (2009: 197), drawing upon the work of Giddens, states: ‘uncertainty and
anxiety (or ontological insecurity) are only overcome by self-reflexively developing an
authentic self-identity in which individuals strive to overcome their inner psychic blocks that
prevent a person from ‘being true to themselves’’. Hence, the increasing prowess of ontological
(in)security within the reflective project of self-identity. Moreover, for Giddens (1991), this
situation is exacerbated by an uncertain and fluctuating world; riding the juggernaut of late
modernity needs to be carefully navigated by the capacity to existentially determine a ‘true’
reflective self. This goes to the heart of Giddens’ project to transcend the dualisms of
agency/structure (see Giddens, 1984). Green (2009: 197) usefully summarises this situation
thus:
‘The conditions of late modernity lead individuals to continuously create, recreate and reflect on their
self-identity in a world that is itself reflexively ordered and liable to unpredictable change. The late
modern world is therefore a world in which the ability to personally construct and maintain an identity
is crucial to survival. Otherwise insecurity and anxiety are all that late modernity has to offer’.
A need to create new communities of meaning would appear to be a key component of
the ‘post-traditional’ human condition. Giddens likens this to an ongoing project of lifestyle
choices. For Giddens, ‘self’-identity becomes increasingly understood in terms of personal
biography and this - echoed by Maffesoli and his concept of ‘neotribalism’ (1996) - is fed by
‘myriad social sources’. This is the nature of the enhanced sense of agency interrelating
dialectically with the social/cultural. As Adams (2006: 512-513) succinctly puts it:
‘Social theorists whose work otherwise differs in many ways converge in an emphasis upon extended
reflexivity: ‘identity is in the process of being redefine as a pure reflexive capacity’ (Melucci, 1996:
36); ‘(there is) an increasingly significant reflexive subjectivity’ (Lash and Urry, 1994: 3); ‘people have
to turn to their own resources to decide what they value, to organise their priorities and to make sense
of their lives’ (Heelas, 1996: 5); ‘the self today is for everyone a reflexive project’ (Giddens, 1992: 30).
Thus, the reflexive self - rather than being reliant upon the self as an aesthetic project or a space
for strategic experimentation - is a self-produced through the technique of biography and the
ability to understand and reflect upon the risks that surround the self (Skeggs, 2004: 81).
Moreover, Giddens sees institutional reflexivity (also referred to as ‘structural’ reflexivity) as
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fundamental to the development of a new universal ‘life politics’ where (like Beck) individuals
search to create a coherent biography in a fractured world (Skeggs, 2004). Skeggs (2004)
usefully captures the reflective ‘self’ that ‘knows’ itself, of which Giddens centrally postulates:
‘This is not a technique of the self, in which aspects previously considered to be fixed, immutable,
beyond will or self-control are increasingly made sites of strategic decision-making – the prosthetic
self130 – where the edict ‘I can, therefore I am’ constitutes the self rather it relies upon the old edict ‘I
think therefore I am’. The emphasis is on the ability to ‘think’ drawing on elements of possessive
individualism that rely upon the ability to stand outside of that which one considers to be a self and to
separate from the body in order to have a (we can insert ‘thinking/reflecting’) proprietal relation to
him/self as bodily property’ (Skeggs, 2004: 82).
Importantly, according to Giddens (1990, 1991), central to an understanding of such ‘dilemmas
of the self’ is that self-identity is bound up with trust in expert systems and ‘symbolic tokens’.
4.4.3 Risk and Trust in Postmodernity
Trust has been conceptualised as representing a defining feature of late modernity and the
demarcation between what has been called ‘pre-modern’ and ‘modern’ society (Giddens 1990;
1991; 1994a). According to Giddens (1990), trust is intrinsically linked in the modern world to
risk. When risk and trust combine, they invariably relate inversely (Ekberg, 2007). Without
some awareness of risk, we do not trust. Thus, in an environment of high trust, risk is low, and
in an environment of low trust, risk is high (Ekberg, 2007: 356-357; see also Lash, 2000). Trust
is therefore akin to faith. As Green (2009: 190; see also Giddens, 1990) observes, ‘we do not
know that our symbolic tokens will be honoured or that are experts are competent – we simply
must trust them. A breakdown in such trust would therefore threaten the very foundation of the
social world we inhabit’. Giddens
(1990: 34) defines trust as ‘confidence in the reliability of a person or system, regarding a given
set of outcomes or events, where that confidence expresses a faith in the probity or love of
another, or in the correctness of abstract principles “technical knowledge”’. Moreover, whilst
Beck (1992a; 1999c) is slightly at odds with Giddens - since he believes that the key defining
feature of modernity is ‘risk’ - both writers stress the importance of individual and societal
reflexivity and see this as the lens through which people both become aware of, and act upon
130 The ‘prosthetic self’ is a more recent version of Foucault’s ‘aesthetic self’ proposed by Lury (1998).
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risk/trust (Ward, 2007: 122; see also Beck et al., 1994). In this way, the issue of trust/mistrust
is not so much about the proliferation of risks, but that individuals and groups have developed
heightened levels of reflexivity on which they can act (i.e. decide whether or not to trust a
particular person, institution or system of knowledge) (Ward, 2007: 122).
Giddens asserts that trust exists in an
environment of socially created transformative human activity. Human activity creates
intended and unintended consequences (contingencies) and thus involves risk and danger, to
which trust is a response mechanism (Schlichter, 2010). Importantly, for Giddens, trust is
related to absence in time and space: the ability to have confidence even though the trusted
person or social system is out of direct contact, which is also a fundamental precondition for
the existence of social systems (Giddens, 1990: 33). Giddens refers to this throughout his work
as ‘time-space distanciation’ (see Giddens, 1990; see Figure 4.3).
Figure 4.3: ‘Time-Space Distanciation’ (as cited in Schlichter, 2010: 9)
Time-space distanciation refers to a situation where action is not dependent on physical
presence. Rather, presence and absence collapse into each other and are thus subsequently
connected; a situation conditioned by the quality of a social system. Traditionally, societies -
or organisations - were organised and linked through place and time (Schlichter, 2010). In order
to interact, individuals had to be at exactly the same spot at the same time. In modernity, these
links are untied and the social system can work independently of time and space constraints
(Giddens, 1990); what Giddens terms the ‘emptying out’ of social relations. As Giddens (1991:
17) makes clear, ‘the emptying out of time and space is in no sense a unilinear development,
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but proceeds dialectically. Many forms of ‘lived time’ are possible in social settings structured
through the separation of time and space’. The emptying out of time
and space is crucial for the second major influence on modernity’s dynamism: the dis-
embedding of social institutions (Giddens, 1990). The concept of dis-embedding is a process
that leads to a situation where social relations are ‘lifted’ away from a local interaction context
and are reconstructed across unlimited intervals of time and distance (Giddens, 1990).
According to Giddens (1990), two types of dis-embedding mechanisms exist: the creation of
symbolic tokens and the establishment of expert systems. For Giddens, a requisite for a dis-
embedding ‘social system’ is one or more conditions of ‘time-space distanciation’.
Accordingly, social systems function without the necessity of direct interaction between
experts and clients. As Giddens (1990; see also Schlichter, 2010) puts it, during the dis-
embedding process, social interactions and ‘relations would become impersonal, at a distance’
and ‘something’ will come between the individuals concerned. Hence, how Giddens stresses
the separation of time from place, which leads to place becoming increasingly phantasmagoric
(Giddens, 1990: 18-19, italics in original). Dis-embedding can therefore be understood in terms
of technological advancements and the associated recalibration of social processes to
accommodate changes in the ways in which we inhabit social spaces (Schlichter, 2010: 7).
According to Giddens
(1990), time-space distanciation is dependent on trust, and is (in itself) a result of trust. Trust
involves the attribution of probity to a person or system to act in a reliable way in relation to
contingent outcomes and situations with incomplete knowledge (Giddens, 1990: 6). The
banking crisis of 2008 is an instructive example of the unfolding relationship between trust,
time and space that Giddens centrally postulates. Trust is therefore a prerequisite for ‘dis-
embedding’. The notion of dis-embedding relations should not however, by read as separate
from the ‘the appropriation of knowledge’ and ‘ontological insecurity’. Rather, under Giddeon
logic, trust is a substitute for knowledge and an adaptive response to uncertain futures and
incalculable risks. Thus, trust ‘offers security in the face of future contingencies’ (Giddens and
Pierson, 1998: 108). Giddens highlights one of the central
contradictions of the risk society is the tension between trust and mistrust, or trust and
scepticism (Ekberg, 2007: 357). Our increasing dependence on trust in expert systems as a
strategy for managing and reducing risk has produced its opposite in anxiety and doubt
(Ekberg, 2007: 357). Accordingly, in an era defined by ‘ontological insecurity’ (Giddens,
1990) and ‘existential anxiety’ (Giddens, 1991), ‘stasis’ becomes the norm and individuals and
groups constantly reflect upon their place in society and the role of traditional institutions
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(Ward, 2007: 123). Trust is thus implicated in an individual’s ontological security - the concept
that Giddens uses to represent an individual’s confidence in their social identity, and in their
situation and how to proceed with it (Schlichter, 2010). Drawing upon Giddens (1990), Misztal
(1996) summarises Giddens’ concept of trust in a world of increasingly precarious individual
identities:
‘Modern institutions are grounded in ‘reflexivity’ and modern individuals, without the guidance of
traditional authority, must self-reflexively construct their identities. Consequently, the conditions of
trust in pre-modern and modern societies are totally different, with the former based on personal trust
secured by kinship, community, religion and tradition, and the latter resting on trust in abstract systems’
(Misztal, 1996: 89).
Importantly, Giddens distinguishes between trust in people and trust in abstract
systems. Abstract systems, such as the example of legal and banking systems given previously,
are combinations of technical means, procedures, professional expertise and other structures
(Schlichter, 2010). Moreover, trust in abstract systems enables dynamism in modern societies
by allowing social individuals to act with confidence in the absence of personal knowledge of,
or contact with, the structures, people and actions embodied in the system (Schlichter, 2010:
6). Abstract systems are thus dis-embedding mechanisms, enabling time-space distanciation
and providing security as well as guarantees to their service users (Schlichter, 2010; Giddens
1990). Moreover, since an abstract system is a means to stabilise relations across time and
space - ‘something to trust in’ (Giddens, 1990) they are also central to ontological security in
conditions of modernity (Giddens, 1990: 113). However, in the absence of trust, social actors
are forced to take many actions to reduce risk and uncertainty, to control situations by face-to-
face interactions and confidence-building measures, and to set in place procedures and
regulations to govern social interactions (Schlichter, 2010: 6). Furthermore, as Ekberg (2007:
356-357) observes, this is especially pronounced ‘in an environment emptied of the security of
traditions, one saturated with high consequence risks and where the lack of consensus among
experts results in a more sceptical attitude towards truth claims’. This is because, according to
Giddens (1996: 42), the image of science as omniscient and infallible has been shaken and
accordingly, ‘science has lost a good deal of the aura of authority it once had’. Moreover, for
Giddens, since the modern world is characterised by a continuous process of reflection upon
new and unforeseen forms of knowledge (Giddens, 1991), trust ‘has to be continually won’
(Giddens, 1994a) and is therefore ‘constantly renegotiated with lay audiences’ (Giddens,
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1990). Giddens provides two examples of abstract systems: the
symbolic tokens of media of exchange e.g. money (see Giddens, 1990: 22-26), and expert
systems enabling complex systems to work e.g. transport systems (see Giddens, 1991: 27-29).
The first type - symbolic tokens - are a media of exchange which have standard value, and thus
are interchangeable across a plurality of contexts (Giddens, 1991: 18). With the maturation of
modernity, groups can act on the basis of these media, in principle, without taking into
consideration the specific characteristics of that group (Giddens, 1990). An example (in fact,
the only example Giddens provides) - is money. The other type of abstract system is the so-
called expert system, which is a system based on, or formed from, a combination of technical
means, procedures, professional expertise and other structures (Schlichter, 2010; Giddens,
1990). Describing expert systems, Giddens (1990: 27) gives the following definition: ‘systems
of technical accomplishment or professional expertise that organise large areas of the material
and social environments in which we live today’. Thus, for Giddens, expert systems bracket
time and space through deploying modes of technical knowledge that have validity independent
of the practitioners and clients who use them (Giddens, 1991: 18). Lastly,
Giddens outlines the concept of ‘access points’ (see Figure 4.4). According to Giddens, access
points are where people actually meet and interact with the abstract system (also called the
‘expert system’). However, as Giddens (1990: 91) observes, the fact that access points are
places of tension between lay scepticism and professional expertise makes them acknowledged
sources of vulnerability for abstract systems.
Figure 4.4: ‘Access Point’ (as cited in Schlichter, 2010)
4.5 Conclusion
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In presenting the panoramic theory of the risk society, Beck and Giddens aspire to offer an
alternative sociological imagination for investigating the dynamics of contemporary society
(Ekberg, 2007: 343-344). Further, in postulating the reflexive age of modernity, in Beck’s
(1998a: 9) terms, ‘the script of modernity has to be rewritten, redefined, reinvented’. This
chapter has introduced the twofold concept of reflexivity as the pivotal mechanism propelling
the shift to a reinvented late modern society. The chapter has engaged with Beckidian
etymology, which demonstrates a concern with the increasing insecurity and risk associated
with mediating existence in contemporary society. For Beck, reflexivity plays an important
part, of which the concern is ‘individualised’ processes. This is in contrast to Giddens (1991,
1994a, 1994b) who prefers to speak of an ‘institutional reflexivity’ that, in a wider sense, can
be said to be an effect of the post-traditional society; it is the dis-embedding of social actors
and a decline in trust in expert systems which allows for an individualisation and self-reflection
within postmodern risk society.
Quite clearly, there are divergences between each authors’ works however, as has been
argued, Beckidian and Giddeon logic share mutually constitutive points of convergence among
their respective structuring philosophical principles (see Figure 4.5). Fundamentally, both
theorists conclude: the ethos of wealth creation that characterised industrial modernity has been
overshadowed by an ethos of risk avoidance; class-consciousness has been displaced by a risk
consciousness; and the increased awareness of living in an environment of risk, uncertainty
and insecurity has become a major catalyst for social transformation (Ekberg, 2007: 344).
Figure 4.5: The Parameters of the Risk Society (as cited in Ekberg, 2007: 345)
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This chapter has drawn attention to theoretical frameworks underpinning the contours
of each authors’ works, of which stress that ‘high-consequence risks’ and ‘manufactured
uncertainty’ within a ‘world risk society’ indicate the breakdown of the principle of insurance,
in as much as it becomes difficult to identify, predict and calculate risks (Beck, 1995: 106–10).
Hence, the risk society as characterised by a dislocation, disintegration and disorientation
associated with the vicissitudes of detraditionalisation (Beck, 1992a; Giddens, 1994b). The
highly developed (world) risk society, in Beck’s and Giddens’ opinion, seems to be a post-risk-
calculation-society (Beck, 1999: 183, italics in original), and thus it is a post-insurance-
society, which subsequently leads to the central paradox of postmodernity. Moreover, whilst
the central tenets of Beck’s work are concerned with reflexivity because of the inability of
bureaucratic control whilst Giddens stresses liberation from bureaucratic control
(Hoogenboom and Ossewaarde, 2005), their works converge through the view that late
modernity is the radicalisation of modernity, not its end. Ultimately, for both authors,
individual agents are liberated from previous social structures and pressures to determine both
action and identity. The result is a perilous condition of risky-freedoms (Beck and Beck-
Gernsheim, 1995) which, in turn, leads to the omnipresent character of the risk society: the
collective consciousness of anxiety, insecurity, uncertainty and ambivalence (Ekberg, 2007:
346). Thus, from both a Beckidian and Giddeon perspective, risk becomes political in
compelling new ways.
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Part II:
Research Design, Research Findings
& Data Analysis
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Chapter 5
Methodology
5.1 Introduction
The preceding chapters took as their focus the theoretical propositions of ‘dispositif risk’ and
the ‘risk society’. This proved essential for contextualising empirical findings. This chapter
discusses the research methodologies employed and the applicability of the data extrapolated.
Moreover, this chapter discusses why qualitative methods were selected as the more viable
approach for the present study, as opposed to quantitative methods. Further, this chapter moves
on to tackle the practical concerns of data collection and analysis from a personal, ontological
and epistemological perspective.
5.2 Research Questions
1. How is risk understood by PREVENT police officers in a ‘non-priority’
funded/low risk area?
2. How is PREVENT understood operationally by PREVENT police officers at
local (low risk) level?
5.2.1 Study Propositions
To what degree does dispositif risk, in less than exceptional terms, help to
construct a more proportionate account of PREVENT policing as a form of
social control?
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It is possible to integrate reflexive risk and reflexivity into explanations of
PREVENT policing, CT practice and social control?
To what extent are the above risk theories interrelated within PREVENT
policing?
5.3 Research Design
Consideration was given at the outset to the suitability of various methods for conducting this
research. Yin (2009: 10) states that ‘the first and most important condition for differentiating
among the various research methods is to classify the type of research question being asked’.131
Since this study is interested in exploring how PREVENT works rather than if PREVENT
works i.e. theory building132 (see Rogers, 2000), a case study approach was most appropriate.
Hammersley (1992: 183) defines a case study as:
‘A case as such can be identified as any phenomenon located in time and space about which data are
collected and analysed. It can comprise single individuals or a group, particular events of a situation, a
specific organisation, social institution, neighbourhood, national society or global process. Case studies
can address the micro situation of a single person in everyday life or the macro situation of a nation
state in the global world. Case studies are defined by the focus of the instance of the phenomenon, not
by the method used to study it’.
The present research used a single-case design that adheres to three of Yin’s (2014) five
rationales for a case study approach. First, the present study can be considered a critical case
by empirically testing two risk positions at local level rather than against exceptional
frameworks in the context of the war on terror. Second, the present study can be understood as
a revelatory case since, to the best of my knowledge, there are currently no empirical studies
which have examined PP (or PREVENT for that matter) in an area defined by government
funding structure as ‘non-priority/low risk’. Third, the present study might be read as an
unusual case given that the research departs from existing analyses of risk and suspect
communities within British CT.
131 Yin (2009: 8) also identifies two further conditions: (i) the extent of control an investigator has over actual
behavioural events; and (ii) the degree of focus on contemporary, as opposed to historical, events. 132 Theory building has been operationally defined as ‘the process of modelling real-world phenomena’ (Torraco,
1997: 123).
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Whilst a single-case design has been called into question for lacking breadth (Robson,
2002) and its unclear comparative advantage (as opposed to randomised controlled trials for
example), a single-case design provided a sufficient blueprint to test two risk positions against
the empirical actualities of PP at local level. The greater level of detail that was afforded when
examining a single-case allowed for a more comprehensive assessment of the usefulness of the
study propositions in a different context. Furthermore, the relationship between the case study
and theory direction is reciprocal. As Yin (2014: 37, adapted by the present author) observes,
‘some theory development as part of the (case study) design phase is highly desired’. Moreover,
Zinn (2008: 200) states ‘empirical data (or at least everyday knowledge) are necessary to
develop hypotheses to integrate them into a large picture’. To put it differently, Yin (2014: 34)
posits ‘a real-life “case” is needed to be a concrete manifestation of the abstraction’. Thus,
whilst PREVENT embodies contemporary “real life” context, a broad exploration of
PREVENT would err towards the research becoming too abstract and thus would not produce
the grounds for a case study. Subsequently, defining the boundaries of the case i.e. ‘risk’,
‘police and CT practitioners’, and ‘low risk area’, allowed for an appropriate method of
investigation. It is acknowledged
that empirical data with a cross-case sample offers the potential to more fully contextualise the
research findings as well as accentuate the implications further.133 As Silverman (2011: 156)
observes, ‘the relative flexibility of qualitative research can improve the generalisability of our
findings by allowing us to include new cases after initial findings are established’. When initial
categories and themes began to emerge within the data, cross-case theme analysis was
considered, however it was conceded that this approach was outside the limitations of the
present study for reasons fivefold: 134 (1) concerns emerged regarding the difficulty of
negotiating access to another PREVENT team operating in a low risk area (of which I had
previously encountered); (2) having to correlate the same level of time building trust with the
second case study in order to minimise inconsistencies between the data sets; (3) assume that
all respondents in the second case study would participate in order for populations to be
compared which were representative of each case; (4) transcribing a further data set would
have been a hugely time consuming task that inevitably would have diverted attention away
from data analysis within the present case (this is not to mention the time and resource
133 Of note, two interviews were conducted with a PREVENT Sergeant working in a different police force area.
However, the data distilled from this participant was used to test the validity of the data derived from the key
informants rather than adhering to a multi-embedded case study. 134 As well as the five points outlined, statistical generalisation does not coincide with the underlining aim of the
present research.
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consuming nature of fieldwork more generally); (5) a single-case study allowed for a more
comprehensive examination of two risk positions at local level.
5.3.1 Case Definition
The aforementioned traits of case study research outlined by Hammersley (1992) have been
broken down further into distinct sub-categories. Stake (2000: 437-8, as cited in Silverman,
2013: 139) identifies three different types of case study which include: the intrinsic case study
where ‘the case is of interest ... in all its particularity and ordinariness’; the instrumental case
study in which a case is examined mainly to provide insight into an issue or to revise a
generalisation, in essence it facilitates understanding of something else, whether it be a
theoretical debate or a social problem; and the collective case study where a number of cases
are studied in order to investigate some general phenomenon. Yin (1994, 2009, 2014) also
suggests that there are three different types of case study; these are exploratory, descriptive,
and explanatory. Moreover, Hakim (1992) suggests there are descriptive, selective and
experimental case studies. The present study cannot be categorised into a singular case study
sub-category but coincides with the logic of three case types. First, the case study is
instrumental to facilitate a more informed understanding of PREVENT operationally in a low
risk local area. Second, within Yin’s categorisation, the case study is exploratory as the nature
of risk and its relationship with PP are explored. Lastly, in line with Hakim, the case study is
experimental, as the relationship between two risk positions is examined at local level rather
than against exceptional frameworks in the context of the war on terror.
Yin (2009) states that a
case study may be further classified in terms of the number of cases being studied and number
of units of analysis (UoA hereafter) within the study, creating a 2x2 matrix (as shown in Figure
5.3).
Single-Case Multiple-Cases
Single unit of analysis Single-holistic case study Multiple-holistic case study
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Multiple units of analysis Single-embedded case
study
Multiple-embedded case
Study
Figure 5.3: Case Study Classification Matrix (as cited in Yin, 2009).
In the present study, a single-embedded case was investigated, defined as ‘risk as linked to the
operations and understandings of PREVENT police officers and individuals who occupy
interrelated CT roles in an area defined by government as ‘low risk’’. The decision about
whether to use an embedded or holistic case study is argued to depend upon the research
questions being posed: embedded if it involves more than one unit of analysis or holistic if it
involves a single UoA (Yin, 2009). The present study entails three UoA: (i) risk as understood
by PREVENT police officers; (ii) how PP is operationally understood by PREVENT police
officers within a ‘low risk’ area; (iii) the previous two units of analysis tested against the
accounts of practitioners from interrelated CT roles. The single-embedded case study design
for this research is represented in Figure 5.3.1.
Figure 5.3.1: Single-Embedded Case Study Design.
Exploring three units of analysis finds support in Yin’s (2009: 3) assertion that ‘a case
study is a strategy for doing research which involves an empirical investigation of a particular
contemporary phenomenon within its real life context using multiple sources of evidence’.
Furthermore, Lofland and Lofland (1984: 11) put forward that the aim of qualitative research
is to ‘collect the richest possible data’. In the present study, ‘rich data’ is conceptualised as the
collection of varied information, from multiple perspectives, which is relevant to the research
UoA –
How do PREVENT
police officers
understand risk?
UoA –
How is PREVENT
understood
operationally by
PREVENT Officers?
UoA –
Exploring inter-
organisational
understandings of
PREVENT as linked to
risk
CASE – How risk is understood and operationalised within a ‘low risk’
PREVENT area.
CONTEXT – Risk and PREVENT policing in a ‘low risk’ area
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question(s) posed (Lofland and Lofland, 1984; Miles and Huberman, 1994; Yin, 2009). Whilst
the appropriate ‘form’ of the case study has been established, Eisenhardt (1989, as cited in
Borne, 2006) suggests that case study research can involve the use of qualitative and
quantitative data separately, or a synergistic combination of both. The present research is based
entirely on a qualitative methodological design, justifications for which are outlined in the
following section.
5.3.2 A Qualitative Approach
A methodological approach is not stark choice between ‘words or numbers’ or ‘precise/
imprecise’ data. Nor is it to suggest that qualitative methods are ‘intrinsically superior’ or vice
versa (Silverman, 2013). Rather, the choice of research method is dependent on the nature of
what the research is trying to describe (Hammersley, 1992: 163). The present study is interested
in ‘how’ questions (how an aspect of the social world is put together by its participants) rather
than ‘how many’ questions can be put to participants, which significantly influenced the
methodological design. It is
argued a qualitative research approach enables an ‘individualistic’ conventional methods
approach to collecting data by way of direct contact with research subjects. As summarised by
Gillham (2000: 11), one benefit of qualitative analysis is that it enables the researcher to
‘explore complexities that are beyond the scope of more “controlled” approaches’. Such
interaction on a personal scale provides the researcher with realistic accounts, providing rich
data, contrasting the ‘thin abstractions of numbers’ provided by quantitative research (Robson,
1993: 370). As Burgess (1984) observes:
‘In qualitative research, the realities of everyday lives are explored as they are experienced and
explained by the people that live them. This research yields rich and complex data, in which subjective
experience and social action are grounded in the context of both time and place, allowing the researcher
to get close to the data’.
A qualitative approach also satisfies the ontological interest of the present study in
providing a unique voice and ‘subjectivity’ during the collection of data. The quality of
undeniability (Miles and Huberman, 1994: 1) is centred on the authenticity of human
experience (Silverman, 2013: 6) since the voices of individuals tasked with CT are under-
researched and under-theorised. This notion is reinforced by Creswell (2007: 39) who states
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that qualitative research is most appropriate when there is a need to ‘…study a group or
population…or hear silenced voices’. Thus, in the present study, there was a lack of desire for
such sentiment to become manifest as numbers in a quantitative study since, as Silverman
(2013: 6) observes, utilising quantitative methods has the potential to lead to that unique voice
becoming muted by the deadening ‘thud’ of aggregate statistics. Furthermore, given the
research topic, which is constantly forming and evolving, it was deemed important to highlight
individual experience(s), concepts and understandings with a heightened level of detail.
Moreover, as Miles and Huberman (1994: 75) point out, it is argued qualitative methods
specifically allow the researcher to describe and analyse the nuanced patterns of relationships
that exist in these types of environments. Additionally, whereas quantitative data often
represents macro trends, using qualitative data allows more discrete information to be
considered (Miles and Huberman, 1994: 40). Subsequently, a qualitative approach generated
“rich”, unique and varied data that are virtually impossible to obtain through other methods
(Wiktorowicz, 2004: 2). Lastly,
qualitative methods were also deemed most appropriate through a lack of desire to make
systematic comparisons in order to account for variance of different understandings of risk in
other PREVENT areas. Thus, this thesis does not pretend to make generalisations. Rather, the
aim is to contextualise and construct assessments of a single-embedded case study, of which
participants’ experience may be more applicable to areas with shared similarities.
Subsequently, the present study should not be seen as an attempt to make categorical truths
about all PREVENT teams, but as an attempt to raise questions by looking at a small body of
data in intensive detail. Accordingly, statistically representative samples were deemed
undesirable.
5.3.3 Qualitative Semi-Structured Interviews
Individuals that work in a ‘low risk’ PREVENT team are significant to the key aims of this
research in that they provide data from ‘live’ primary sources. Thus, in-depth (open-ended)
semi-structured interviews were deemed most appropriate for the present study. Semi-
structured interviews allowed a common and an individual element, which enabled me to
follow areas of the respondents’ interests as well as ensuring participants discussed key areas.
Of note, whilst (open-ended) semi-structured interviews provide the core fieldwork, various
informal discussions took place prior to the fieldwork commencing which should be read as
complementary since this approach ultimately added depth as well as specificity to the
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methodology. Moreover, such conversations were deemed necessary in order to become
sensitised to the research area.
A qualitative interviewing approach also coincides with ontological position of the
research which affirms that those interviewed were selected based on their respective
understanding and experiences of PREVENT. Moreover, when attempting to reach a deeper
understanding of an under-researched phenomenon, the importance of attaining points of views
through conversation is stressed by various academics (see Burgess, 1982). Furthermore,
interviews semi-structured in nature are intended to avoid the obstacles experienced by Wilson
et al. (1982) when trying to obtain co-operation from interviewees, namely, reluctance and lack
of co-operation (initially however, this approach far from addressed this issue!).
Semi-structured interviews were
also considered most appropriate since they enable a far greater (theoretically informed)
flexibility and adaptability that is conducive to both researcher and interviewee (Silverman,
2013). Of note, whilst semi-structured in nature, the research questions were more in keeping
with an interview protocol: that is, a ‘guided conversation’ with the interview protocol serving
as a ‘conversational guide’ (Rubin and Rubin, 1995). The interview protocol contained a subset
of topics that were considered relevant and thus were more in keeping with a mental framework
rather than adhering to a list of questions that were verbalised to each participant. Further,
whilst a semi-structured interview protocol ensured all interviews generated comparable data,
departures from the guidelines were encouraged in order for participants to reflect more freely.
Moreover, by not sticking to a formalised interview structure, the interview guide was able to
develop as the research progressed (King, 1994: 18). Subsequently, this allowed for the
inclusion of new topics and the removal of those that elicited vague responses. As Silverman
observes (2013: 11), ‘you can become much more effective as a researcher if you reject
arbitrary, self-imposed categories and instead systematically pursue knowledge about a topic
wherever the data might take you’. Silverman’s observations neatly coincide with a quality of
qualitative interviews since questions can be modified based on the researcher’s ‘perception of
what seems most appropriate in the context of the conversation’ (Robson, 1993: 231), as
opposed to, for instance, survey research.
Lastly, prior to and during fieldwork, numerous informal interviews and
discussions were not recorded (most were face-to-face, whilst two were by telephone).
Hammersley and Atkinson (2003: 139) observe that interviews in ethnographic research ‘...
range from spontaneous, informal conversations in places that are being used for other purposes
to formally arranged meetings in bounded settings out of earshot of other people’. When
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discussing interviews, the present study focuses only on the ‘formal’ interview since research
data was not obtained through ethnographic methods. This raises a number of important issues
which require (albeit brief) discussion. First, there are numerous inherent advantages to
ethnographic research. Herbert (2000) argues for the use of emphatic observation in order to
tackle and disentangle the complexity that exists between process, meaning and place.
Ethnography, according to Herbert, offers the flexibility between such macro and micro-logical
connections whilst simultaneously proffering the ability to engage with theoretical assumptions
and data collection. In Herbert’s (2000: 564) words, teasing out the connections between the
micro and macro requires the ability to ‘... develop a vibrant, recursive conversation between
theory and data’. I accept Herbert’s observations, however, using informally obtained data
without informing participants that they are in fact participating in an interview, raises a
number of ethical issues. Moreover, taking this approach would have entirely contradicted the
open and honest etiquette of the research. Furthermore, these informal discussions were so
numerous that it would have been more appropriate to categorise them as ‘participant
observation’. Even so, one might question why the present study lacks an element of first-hand
primary evidence in order to strengthen the credibility of the findings rather relying on second-
hand and third-hand evidence (Yin, 2012). To reiterate, informal discussions were so numerous
that recording and transcribing each informal conversation would have been particularly
challenging.
5.3.4 Ethical Considerations and Risk Management135
Originally, the idea was to provide thick descriptions of the case study including its location.
Doing so would have supported the numerous justifications as to why research in a low risk
area (as defined by government) is empirically warranted. Moreover, as Seale (1999: 108)
observes, threats to transferability are dealt with most adequately if details, or “thick”
descriptions of the “sending” context (or the “sample”), are provided’. However, for reasons
of respecting anonymity within the present study, this is not possible. Anonymity refers to
concealing the identity of the participants in all documents resulting from the research,
therefore actively protecting the identity of research participants (King and Horrocks, 2010:
117). In the context of the present study, the PREVENT team had far fewer officers in
comparison to a PREVENT team operating in a ‘high risk’ area. Thus, had the case study
135 The present study also has attained ethical approval in line with the university’s code of ethics.
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location been identified, it would have been possible to hypothesise who participated in the
research study even if one could not directly link individuals to interview quotations. Moreover,
even the use of pseudonyms would not suffice to protect anonymity of participants since
pseudonyms are blind to unexpected ethical dilemmas. In this instance, it was imperative to
avoid ‘thoughtless rule following’ (Silverman, 2013). Observations by King and Horrocks
(2010: 110) make clear the position of the present study:
‘The name of the participant is not the only way in which the participant can be identified. In a semi-
structured interview with a ‘key informant’ (someone who has specific information relating to the
research), the position that the person occupies and/or other attributes and characteristics will be both
relevant to the interview and identifiable to others’.
Whilst I accept that the omission of “thick-descriptions” of the case study area could have an
effect on the overall impact of the research, it is the responsibility of the researcher to
comprehensively think through the impact that participation might have for people taking part
(King and Horrocks, 2010: 210). Thus, the present study is anonymised in its entirety.
5.3.5 Informed Consent
Research subjects must be informed about the purpose, methods and intended possible uses of
the research, what their participation in the research entails and what risks, if any are involved
(Silverman, 2013: 162). This principle underpins the meaning of informed consent.
Importantly, Silverman (2013: 162) points out, ‘consent is not simply resolved through the
formal signing of a consent document at the start of research. Instead it is continually open to
revision and questioning’. It was decided that conducting research into PREVENT raised a
number of issues which extended beyond formal consent. The approach taken within the
present study was one of avoiding a highly formal and bureaucratic way of securing consent in
favour of fostering relationships in which ongoing ethical regard for participants is sustained
(Silverman, 2013). The primary objective of this was to conduct ethically sound research as
openly as possible without deception. Of note, I have maintained contact with several
participants post-fieldwork, thus adding to the ethical nature of the research.
This is not to say that formal informed consent was not obtained. Prior to each
interview, all participants were provided with an information sheet explaining the content of
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the research, confidentiality issues, and data protection considerations. 136 This included
informing participants of their right to refuse to participate or withdraw from the investigation
whenever and for whatever reasons they wished. Participants were also informed that
interviews were to be fully transcribed on my own personal computer (as opposed to a shared
network space e.g. a university library). Moreover, participants were made aware that the
transcribed data would be solely accessible to myself and my Director of Studies (DoS) and
would be stored in a safe and secure place in line with the Data Protection Act 1998.
Furthermore, participants were informed that their data would be destroyed at the end of the
research. Lastly, participants were informed that their data would be anonymised, as would the
identity of the case study. If participants were happy to proceed with their participation, they
were required to sign an informed consent sheet in order to formalise their consent.
5.4 Validity
Validity refers the extent to which an account accurately represents the social phenomena to
which it refers (Hammersley, 1990: 57). Howe (1988) argues that research that does not utilise
scientific, positivist methods has been criticised for producing ambiguous and untrustworthy
data that are not reliable or valid; what can be termed ‘issues of generalisation’. However,
validity can be conceptualised differently depending on the epistemological position of the
researcher. The present study does not adhere to the search for a ‘singular, objective,
empirically valid, universal truth, existing out there in the world’ waiting to be uncovered
through the application of ‘the scientific method’ (Taylor and Ussher, 2001: 295). This
approach is not fitting with the research question(s). Rather, the present study adopts a position
similar to Taylor and Ussher (2001) who, in their analytic account of S&M, outline:
‘There is the rejection of the notion that complex phenomena may be explained by identifying an
objective truth since supposed inner truth or essence reduces the opportunity for continual reflection
and restricts the meaning of social interaction. Equally, there is a rejection of the assumption that there
must be a unitary, fundamental and rational underlying pattern of exposition ‘ordained by nature itself’
(Taylor and Ussher, 2001: 295, adapted by the present author).
136 See Appendix K.
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Similarly, the present study does not aim to have external validity in the positivist sense to the
point where the findings generate a blanket understanding that can be applied nationally or
even locally (Brock-Utne, 1996). In essence, there is no attempt at meta-theorising. Rather, the
emphasis is upon the multiplicity of individual realities or epistemologies each with their own
inherent validity (Ussher, 1999). As Mallon (2007: 98) notes, ‘while human culture and
decisions have impacts on numerous features of the world, the impacts on humans are sui
generis (unique)’.
This epistemological position is consistent with a social constructionist approach
(Gergen, 1999). From both an epistemological and ontological perspective, emphasising that
that there is no insistent or essential human drive or desire which pre-exists its cultural
conscription (Foucault, 1980a) is advantageous in order to ‘contextualise’ the complex
dynamics, interrelations and understandings of the PREVENT/risk relationship as constructed
within a local environment. As Dickens (2004: 333) observes, ‘...the ways we understand the
world are formed by the ways in which we interact with each other in our local cultural milieu’.
Thus, the general aim of the present study can be read as of expanding and generalising theories
(analytical generalisations) and not to extrapolate probabilities (statistical generalisations)
(Yin, 2014). Whilst the results
are not generalisable as descriptions of what other PREVENT teams or individuals do (since
the circumstances and mechanisms will be different for individuals in other areas/teams and
interpreted differently), they can be considered analytically generalisable as descriptions of
what any individual tasked with carrying out CT through PREVENT can do. Thus, whilst the
findings are inherently subjective they are likely to have greater applicability for those
individuals and teams in areas defined by the government as ‘low risk’.
It is also important to note that the data distilled
from the interviews with the PREVENT Sergeant in a different police force shared increasing
parallels with the insight of the PREVENT officers at the case study site. Furthermore, whilst
consciously distancing the findings from statistical generalisation, the research findings should
be read as exploratory rather than definitive in ways that further analytical possibilities are
opened up. This position is in keeping with a case study approach whereby ‘the lessons learned
could assume the form of a working hypothesis either to be applied in re-interpretating the
results of existing studies of other concrete situations or to define new research focusing on yet
additional concrete situations’ (Yin, 2014: 40-41).
Whilst the term ‘validity’ does not map well onto the qualitative
research paradigm of the present study, nevertheless, Yin (2009) outlines four tests that are
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commonly used to judge the quality of case study research: construct validity, internal validity,
external validity and reliability.137 A number of steps were taken in order to increase the
validity of the research findings. First, when assessing the quality of qualitative research, Guba
and Lincoln (1994) replace internal validity with ‘credibility’. This refers to the extent to which
the researcher’s interpretation is endorsed by those whom the research was conducted (King
and Horrocks, 2010: 160). In Guba and Lincoln’s (1994) words, ‘the participants are the only
ones who can legitimately judge the credibility of the results’. Whilst participant feedback on
individual transcripts would have strengthened the accuracy and interpretation of the research
data, I did not ask for participant feedback on transcripts since confidentiality requires that
individual data are not stored against responses. Subsequently, extended analysis of the
transcribed data that involved a level of detail beyond basic helped to promote credibility.
Moreover, once findings were established, transcripts were subject to further detailed analysis
to ensure that findings were true to the original data.
It is argued researchers using qualitative analyses need to explicitly detail the
process via which themes are identified (Attride-Stirling, 2001). During the data analysis phase,
I ensured that there was sufficient evidence to support the themes that had been identified from
the transcripts. Moreover, I have documented the thematic analysis process (see Appendices
G, H and I; and Section 5.9) in order to make explicit the decisions made in relation to data
collection, analysis and reporting. Subsequently, this increases transparency for other
researchers wishing to review or replicate the research. Furthermore, Section 5.9.1 provides
examples of the coding technique used within the data analysis stage (see Appendices H, I and
J) in order to increase the ‘trustworthiness’ of the data (Lincoln and Guba, 1985).
Lastly, the benefits
of a single-embedded case study design adhered to two of Maxwell’s strategies for combating
threats to validity. First, a single-embedded case design allowed for intensive long-term field
involvement. This helped to produce a complete understanding of field situations and relations,
including the opportunity to make repeated interviews (Maxwell, 2009: 244-245). Second, the
present study used multiple sources data through conducting interviews with 14 practitioners
from a variety of institutions in order to gain a range of perspectives, accounts and experiences
that usefully illuminated the research question(s). Lastly, rival hypotheses (also termed
“negative cases”) are reflected upon in chapter 6, thus increasing the internal validity of the
data (Yin, 2003).
137 See Appendix F.
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5.4.1 Reliability
Reliability refers to ‘the degree of consistency with which instances are assigned to the same
category by different observes or by the same observer on different occasions’ (Hammersley,
1992: 67). Thus, reliability can be read as the degree to which the findings of a study are
independent of accidental circumstances of their production (Kirk and Miller, 1986: 20).
Murphy et al. (1998: 70, adapted by the present author) sum this up as:
‘(i) Qualitative researchers demonstrating that they have taken into account the inherent instability of
the phenomenon they are studying; (ii) this entails distinguishing between instability that is integral to
the research context itself and that which they have introduced themselves through the research
process’.
With reference to Murphy et al’s. (1998) former point, it is acknowledged that if the research
was repeated at a time when the funding structure of PREVENT had significantly changed or
altered, this potentially could have an impact upon the findings. In relation to Murphy et al’s.
(1998) latter observation, given that interviews were conducted, it was important to satisfy the
criterion of using ‘low-inference descriptors’ (Silverman, 2011, italics in original). Silverman
(2011) suggests this can be achieved by: (1) tape recording all interactions; (2) carefully
transcribing these tapes according to the needs of reliable analysis; and (3) presenting long
extracts of data in the research report. The present research adhered to all three principles. First,
measures were employed to ensure the accuracy of data, such as transcribing verbatim in order
to remain faithful to context and structure of participants’ utterances. Second, after the audio
recordings had been transcribed, transcriptions were checked for errors by re-listening to the
audio-recordings in full alongside transcriptions. Third, the research findings contain detailed
and descriptive data from the interview sessions in order to highlight the context of the original
data. Of note, less descriptive data have also been included where extremely poignant to the
case in point.
5.5 Participants
In total 21 interviews were conducted with 14 individuals (multiple interviews were conducted
with the PREVENT officers in order to ‘drill-down’ on themes and concepts) over the course
of 14 months. The intensive data for this research is derived from interviews with the
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PREVENT officers (key informants). This includes a PREVENT Lead; a PREVENT Sergeant;
a PREVENT police officer; and a CHANNEL Officer.138 Initially, I
gained accessed through contacting the PREVENT team via email. Following this, several
meetings took place between myself and the PREVENT officers at a mutual safe space in order
to outline the nature of the research and to discuss dates and times for fieldwork to commence.
Of note, during the fieldwork stage, a PREVENT Lead suggested various other key
stakeholders who had extensive knowledge of PREVENT at local level. Consequently,
interviews were conducted with a PREVENT Sergeant from a different police force;
neighbourhood police officers; a Youth Offending Team Case Manager; a Supported Housing
Officer; a Local Housing Officer; a Community Safety Officer; a Community Engagement
Officer; and a CHANNEL Intervention Provider. Some of these participants were accessed on
the basis of opportunistic and snowball sampling, whereas others were accessed theoretically
as a result of frequently cited interrelated job roles within participants’ accounts of PREVENT
(as discussed further in Section 5.6.1). The data gathered from these subsequent interviews is
used to supplement the intensive qualitative data from the case study in a supportive or
challenging fashion, as reflected in the research findings. Thus, the data derived from the
extended sample should be read as an embedded unit of analysis within a single-embedded case
study. Lastly, the choice
of interview location, time and date were dependent on participant preference and work
schedule(s) (this is reflected upon in section 5.7.5). Of note, most interviews were conducted
at the participants’ place of work; however, two interviews were conducted in a safe space at a
university.
5.6 Sampling Approach139
Prior to the fieldwork stage, it was important to think critically about the parameters of the
population of interest to the research. As Denzin and Lincoln (1994: 202) put it: ‘many
qualitative researchers employ ... purposive, and not random, sampling methods. They seek out
groups, settings and individuals where ... the processes being studied are the most likely to
138 During the fieldwork phase, the PREVENT team was restructured leading to some participants adopting
various PREVENT roles within the PREVENT team. 139 It should be noted that in case study research using the term “sampling” can be problematic. As Yin (2014: 43-
44) observes, ‘using the sample portion of the term risks misleading others into thinking that the case comes from
some larger universe of population of like-cases, undesirably reigniting the spectre of statistical generalisation’.
However, the term sampling has been use in this instance on the basis that there are numerous other PREVENT
teams operating in low risk areas even if the findings are not considered statistically generalisable.
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occur’. Burgess (1984) describes this as ‘judgement sampling’ or ‘purposive sampling’. Here,
respondents have been selected as ‘they have particular features or characteristics which will
enable detailed exploration and understanding of the central themes and puzzles’ (Ritchie et
al., 2003: 78). It was identified that the most appropriate sampling approach for the present
study was purposive sampling in order to constrain extraneous variation and sharpen external
validity (Eisenhardt, 1989: 533).
5.6.1 Extending the Sample: Embedded Unit of Analysis
As emerging themes within the data became apparent, the decision was taken to negotiate
access with other stakeholders. The aim of this was: (1) to say more about the data sample; and
(2) to test themes against a wider data set. Alasuutari (1995: 156) describes this process through
using the analogy of an hourglass: ‘a narrow-case analysis is broadened ... through the search
for contrary and parallel cases, into an example of a broadened entity. Thus, the research
process advances, in its final stages, towards a discussion of broader entities. We end up at the
bottom of the hourglass’. Extending the data set also allowed for the examination of social
relationships within a multi-agency CT framework. Moreover, Clive Seale (1999) suggests
that, rather than a focus upon ‘individuals’, students should realise that all kinds of phenomena
can be studied for research purposes. Underlining Seale’s point, Giampeitro Gobo (2007: 203-
204) states:
‘The (qualitative) researcher should focus his/her investigation on interactive units (such as social
relationships, encounters, organisations), not only because social processes are more easily detectable
and observable, but also because these units allow more direct and deeper analysis of the characteristics
observed’.
As well as a purposive approach to sampling, the present study also used theoretical,
opportunistic and snowball sampling methods.140 As Mason (1996: 100) puts it:
140 Having made initial contact with individuals from interrelated CT roles, there was a conscious effort to allow
participants to respond before making further contact. This was to ensure that participants did not feel like they
were being coerced into participating and that their consent was informed in more than bureaucratic ways (as
consistent with the PREVENT team).
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‘Theoretical or purposive sampling is a set of procedures where the researcher manipulates their
analysis, theory, and sampling activities interactively during the research process, to a much greater
extent than in statistical sampling’.
Theoretical sampling was achieved by conducting further research into the local structure of
PREVENT and subsequently identifying individuals of interest (initially, participants were
contacted via email to outline the nature of the study). Furthermore, various participants were
also accessed via ‘snowball’ sampling. Snowball sampling identifies cases of interest from
people who know people who know what cases are information-rich (Creswell, 2007: 127).
Moreover, Rubin and Rubin (2005: 65) state, ‘finding interviewees with the relevant first-hand
experience is critical’, and further maintain that ‘enlisting individuals who are, or have been,
directly involved is better than interviewing those who are not’. In the present study, snowball
sampling was achieved via a PREVENT lead suggesting individuals who might be particularly
useful for the present investigation. During the course
of fieldwork, I also accepted several invitations to attend presentations, talks and training days
which helped to expose further respondents - a process described by Burgess (1984: 55) as
‘opportunistic sampling’. Becker (1970: 35) identifies this as one of six strategies set out for
aiding researchers to identify their sample group and ‘gather information in a more direct and
purposive way’.
5.7 Reflexivity
In its broadest sense, reflexivity responds to the realisation that researchers and the methods
they use are often entangled in the politics and practices of the social world (King and
Horrocks, 2010). This realisation brings about the unavoidable acceptance that doing social
research is an active and interactive process engaged in by individual subjects, with emotions
and theoretical commitments (King and Horrocks, 2010: 126). Moreover, reflexivity enables a
critical stance to be taken towards the impact of both the researcher and the context in which
the research takes place (King and Horrocks, 2010: 126).
5.7.1 Epistemological Reflexivity
Willig (2001) identifies two kinds of reflexivity: epistemological reflexivity and personal
reflexivity. Epistemological reflexivity advocates that the researcher reflects upon assumptions
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about the world that have been made in the course of research (King and Horrocks, 2010). This
includes how the research questions have been defined, interview schedules structured, and the
method of analysis taken (Willig, 2001: 23). Various assumptions based on epistemological
reflexivity are outlined in Section 5.7.2. Moreover, certain assumptions also coincide with the
‘axiology’ (Robson, 2002) which underpins the present study.
5.7.2 Assumptions
1. That I would be successful in negotiating access to a PREVENT team (case study) in a
‘non-priority’ (low risk) area;
2. That every member of a PREVENT team would be willing to participate in order for
the case study to be representative of that particular population;
3. That participants would be interested in learning the conclusions of this study and
benefit from the research findings;
4. That the inclusion of the views of practitioners in this arena would enhance dialogue
and, at the same time, provide perspective on PREVENT policing as linked to risk;
5. That experience is ‘paramount’ to understanding risk and the operations of PREVENT
by negating cultural and linguistic forms which structure what is considered
‘experience’ (Silverman, 2011);
6. That a focus upon dispositif and reflexive risk might better link PREVENT policy to
practice;
7. That interviewing those participants from CT roles would provide a balanced, evidence‐
led and non‐partisan assessment of PREVENT and its effects in a ‘low risk’ area.
5.7.3 Personal Reflexivity
Personal reflexivity in qualitative research specifically invites us to look ‘inwards’ and
‘outwards’, exploring the intersecting relationships between existing knowledge, our
experience, our research roles and the world around us’ (King and Horrocks, 2010: 125,
emphasis in original). To put it differently, personal reflexivity involves considering the ways
in which our beliefs, interests and experiences might have affected the research (Willig, 2001).
Importantly, qualitative interviewing is itself a highly personal activity that necessitates critical
self-reflection (King and Horrocks, 2010: 129, emphasis in original) or ‘disciplined self-
reflection’ (Wilkinson, 1988: 493). In what follows, I move beyond reporting simple ‘personal
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thoughts’ towards providing a conceptualisation of personal experience which can be read as
‘confessional’ (King and Horrocks, 2010).
5.7.4 Identifying Methodological Dilemmas
Various methodological dilemmas were identified prior to the fieldwork stage. First, Creswell
(2007: 138-9) observes that, ‘gaining access to organisations, sites, and individuals to study
has its own challenges. Convincing individuals to participate in the study, building up trust and
credibility at the field site, and getting people from a site to respond are all important access
challenges’. Figuratively speaking, the present study found itself between a rock and a hard
place. On the one hand, the experiences and accounts of PREVENT police officers are
significantly under-represented in both government policy and academia. On the other hand,
one of the most challenging aspects of applying social research procedures to this study was
gaining access to a PREVENT team operating in a low risk area.
Second, over the last five years, the police service has been subject to
several significant budget cuts to both pensions and staff for the first time in their history. Thus,
it was identified that shrinking budgets; the demands of the police service as a profession; and
the time consuming nature of academic research, potentially made negotiating access even
more difficult - a situation exacerbated by the fact that a ‘low risk’ case study site would have
far fewer practitioners working within PREVENT as opposed to a ‘high risk’ area. Related to
this aspect, it was identified that respondents might decline invitation to participate based on
the assumption that anonymity might be harder to preserve. Third, the basis of
the attended problems associated with the differential exercise of power by the interactants and
insider/outside perspectives was identified. Kvale (2006) for example, states that the interview
is actually a hierarchical relationship with an asymmetrical power distribution between the
interviewer and interviewee. Furthermore, Creswell (2007: 140) drawing upon the work of
Kvale (2006), discusses the interview as ‘being “ruled” by the interviewer, enacting a one-way
dialogue, serving the interviewer containing hidden agendas, leading to the interviewer’s
monopoly over interpretation, enacting “counter-control” by the interviewee who does not
answer or deflects questions, and leading to a false sense of security. Given the status of
respondents, as well as the academic literature on police culture (see Reiner, 2010), this point
had perhaps even more pertinence given that the methodological approach involved
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‘interviewing up’ (Silverman, 2013). As Silverman (2013: 206) points out, as a researcher ‘you
may find elite members unhappy about ‘opening up’ about themselves’.
Lastly, significant cognisance was given to the volume of negative
political, media and academic attention PREVENT has received since its policy inception.
Subsequently, the reverberations of participants being deceived, misrepresented and/or
misunderstood meant that there was greater likelihood that (as a researcher) I would be viewed
with suspicion and/or acquire biased data. For instance, Mair (1989) points out that the
detached, depersonalised and ‘uncontaminated’ account of research that is often presented is
arguably a very powerful and well-researched ‘illusion’. Moreover, Bourdieu (1977)
emphasises the ability of the interviewee to temper their opinions and ideas for ‘official
representation’ thus providing the interviewer with an official account, or an account of what
the interviewee believes the interviewer wants to hear. Thus, the issue of what Silverman
(2011: 369) refers to as ‘the truth status of respondents’ accounts’, and the ‘official/unofficial’
narrative (Bourdieu, 1977) was particularly acute to the present study.
5.7.5 Resolving Methodological Dilemmas
Having initially made two unsuccessful attempts at negotiating access to other research
locations,141 several steps were taken in order to adhere to accountability and responsibility;
what Gill (1995) terms ‘accountable reflexivity’. Ashmore (1989) states that, ‘it is the duty of
a qualitative and quantitative researcher to apply a form of methodological reflexivity to all
components of the research procedure’. After successfully negotiating access with the
PREVENT team, the ‘co-construction’ of the research began months prior to the fieldwork
stage. Due consideration was given to the validity of the data because of the fervent criticism
of PREVENT as a policy. Specifically, the decision taken was to spend several months building
up trust and generating a rapport with the participants142 in keeping with a case study design.
As Yin (2014: 37) makes clear:
141 One police constabulary declined whilst the other did not respond. The identities of both police constabularies
have been withheld in keeping with the anonymised nature of the research. 142 It is argued the term ‘validity’ does not map well onto qualitative research paradigms. Thus, building trust with
participants can be read as a methodological step taken to enhance the ‘trustworthiness’ of the research findings
(Lincoln and Guba, 1985).
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‘Students think, by having selected the case study method, they can proceed quickly into their fieldwork.
No presumption could be more misleading. Among other considerations, the relevant field contacts
depend upon an understanding - or theory - of what is being studied’.
Moreover, generating a level of trust with the PREVENT team was based on the understanding
that ‘field relations should be treated as data’ (Silverman, 2013). As Gubrium and Holstein
(2003b) articulate, the qualitative interview process is an ‘interactional project’ from the
moment the research is conceived and not just at the interview stage. This is because in
qualitative interviewing ‘we actively manage how the interaction will unfold’ since ‘we
unavoidably co-create or co-construct the events that take place’ (King and Horrocks, 2010:
134, italics in original). Thus, reflexivity locates researchers as involved and implicated in the
entire process of knowledge production (Finlay and Gough, 2003: xi). Ultimately, solidifying
trust with the research participants allowed for the following methodological advantages. First,
trust helped to permit asking questions as the fieldwork progressed without creating too much
suspicion. Second, due to staff reductions and budget cuts within the police force, it was
imperative to make sure that fieldwork began around the most appropriate time for the
participants’ schedules and not the most convenient time for myself (as a researcher).
Respecting time restrictions and preferences helped to build healthy relationships, which
ultimately generated “richer” data.143 Third, participants were allowed to reflect upon their
decision to participate over a significant period of time, which helped to maintain ethical
standards.
It is also important to note that several methodological steps were taken prior to
fieldwork commencing in order to minimise the likelihood of accumulating biased or research-
lead data. During several informal discussions with participants (prior to field interviews), a
determined effort was made to avoid directly asking participants the research questions, thus
minimising researcher influence and affect. As Creswell (2007) observes, ‘it is important that
disclosure is handled by the researcher by presenting general information, not specific
information about the research study’. Rather, it was the nature of the research that was
discussed in order to be explicit about the particular agenda(s) of the research (Gill, 1995). Of
note, during interviews I adopted a stance of ‘talking back’ to the interviewee (Griffin, 1990).
Thus, questions were used to promote a two-way dialogue with which helped to explore key
themes. Whilst this approach is subject to criticism, particularly with regard to researcher
143 The decision to be sensitive and respectful of participants’ time constraints and preferences was also based on
the perspective that access is a ‘process’ and not an ‘event’ (see Yin, 2012).
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neutrality, a two-way dialogue helped to generate what Wilkerson (2007) terms “accelerated
intimacy”. In order to
reduce power difference at the fieldwork stage, it was decided that the best way to achieve this
was to be as open as possible with the participants, both morally and practically. During various
informal discussions, participants were assured of the nature of the research, which perhaps
resulted in interviewees reflecting more honestly and openly at the fieldwork stage. Moreover,
during the fieldwork stage, I accepted various invitations to attend presentations delivered by
the PREVENT team which contributed to a reduction in power imbalance by relating to
members in the field (Perakyla, 1989: 131).
5.7.6 Reflecting on Methodological Dilemmas and Resolves
At the beginning of the fieldwork phase I had achieved a position of trust within the PREVENT
team, which provided various methodological benefits. First, this helped to create a more
comfortable interview environment, which contributed to richer contextual data through more
open and honest answers. Second, Gray (2004: 224-5) suggests that in qualitative interviews,
maintaining control is essential and can be achieved by ‘minimising long-winded responses
and digressions’. He goes onto argue that the researcher should not feel concerned to interrupt
the respondent if this enables the interview to stay focussed (Gray, 2004). Moreover, Arksey
and Knight (1999) add ‘improvisation throughout the interview is fundamental to maintaining
control’. In various instances within the present study, participants did digress from what was
being discussed however, this was actively encouraged when it brought perspective to the
research that I had not considered before. The following interview data reflects one such
situation:144
Participant: ... you know, I’m sort of going off on a tangent here ... remind me
what the question was ... I think I’ve just lost it there ...
Interviewer: You were discussing the links between PREVENT and local
authorities ...
Participant: Yeah, it is a crucial part of our work ...
144 Interview with practitioner No.03.
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Nevertheless, since the nature of the research entailed interviewing ‘up’ (Silverman, 2013), had
any participant spent a great deal of time on matters which were of minimal significance to the
research, it is questionable whether I would have had the confidence to ensure the interview
stayed on course had there been no relationship in place. Overlooking this had the potential to
waste time, as well as neglect more pertinent topics for discussion.
Attaining a position of trust also raised various methodological ambiguities. Hall (2000)
recommends researchers should aim to maintain a balanced status where they are considered
as accepted within their sample, though at the same time not completely immersed. Similarly,
Davis (1973: 342) writes that the researcher should aim to adopt a ‘middle ground’ position
between what he describes as the “Martian” and the “Convert”, in order to obtain ‘a valid
objective account of their [participants] subjective world’ (Davis: 1973: 337, emphasis in
original). According the Davis (1973), the latter involves “going native” whilst conversely, the
former individual prefers minimal interaction with participants. In the context of the present
study, remaining within this ‘middle-ground’ was a difficult task that had to be carefully
navigated throughout the research process. Thus, further caution is anticipated regarding
notions of a strong professional empathy with the participants and a perceived lack of
objectivity (Unler, 2012). However, a perceived lack of objectivity should be considered a
necessary sacrifice given that the police are an increasingly difficult-to-access group.
Even after I
had built trust with several key informants, the schizophrenic nature of power differentials
came to the fore in numerous interviews. For instance, in certain interviews (as a researcher) I
was personally afforded a position of trust within the PREVENT team, albeit hypothetically.
The following responses display this situation:145
Participant: “... Yep, I can call upon Paul Dresser, ‘cause, you’re my man; you
know all about that, you can help this individual”.
Participant: “I have contacts with the likes of ... OK, for instance ... You, (name
of contact), (name of contact) – head of security, (name of contact) on the senior
management team ... OK, I’ve got contacts with these types of people”.
145 Interview with practitioner No.04.
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However, in other instances with the same participant, my position had reverted to that of an
outsider with less expertise than the interviewee:146
Participant: “The problem is ... we’ve got the Police and Crime Commissioners
and you find a lot of the surveys ... when surveys are going out asking, “What do
you want your local police to do?” They’re not going to say terrorism because a
lot of the time people don’t understand that, they’re not going to say burglary ...
Any idea of what they say? ... What the top one tends to be ... or top two?”
Researcher: “Anti-social behaviour?”
Participant: “No. It features up there, but not in the top two …”
Researcher: “Car crime?”
Participant: “Illegal parking and dog shit! Dog fouling ... that’s the top two. Are
police officers responsible for policing dog poo all over the place? Not really,
you know? ... I mean the council do have their own departments but that’s what
the public want ...”
Moreover, in a different interview, a participant reflected upon their experience of friction
between the academic world and the world of policing, particularly in relation to different
interpretations of radicalisation and how this has affected PREVENT operationally in the past.
Whilst during the interview there seemed to be an egalitarian relationship between interviewer
and interviewee, upon transcription of the data, power differentials became apparent. The
following interview dialogue demonstrates how our “brought-selves” can enter the relationship
dynamic in qualitative interviewing:147
Participant: “When you’re looking at the academic side in universities when
you’re trying to sell the agenda, and it’s about going in at the relationship level
with those people and over time building that trust is the problem”.
Participant: “You know, some of the universities don’t like the terminology,
because it’s the academic world. Let’s approach it in a way that they actually like
that terminology or want to discuss it”.
146 Interview with practitioner No.04. 147 Interview with practitioner No.05.
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Participant: “Very much from the academic side is that if we go into universities
and use the word “radical” they will turn round and say, “There’s nothing wrong
with being radical” … “
5.7.7 Reflecting on Resolves and Findings
Byrne (2004: 182) recognises that what an interview produces is a particular representation or
account of an individual’s views or opinions. Thus, there is a lack of stability of such apparent
‘realities’ as ‘facts’ and ‘experiences’ (Silverman, 2011). In chorus, Rapley (2004) points out:
(i) interviews do not appear to give us direct access to the ‘facts’ or to events; and (ii) interviews
do not tell us directly about peoples ‘experiences’ but instead offer indirect ‘representations’
of those experiences. Thus, cognisance should be given to the volume of criticism PREVENT
has received since its inception from media, academic and government policy circles.
Moreover, given the initial methodological obstacles i.e. negotiating access, it is important to
question whether access was granted for the present case study because the PREVENT team
were operationalising CT in a manner they were particularly pleased with and thus were willing
to discuss this with a researcher. Accordingly, further concerns may emerge regarding
perceived professional bias and the pursuit of vested interests on the part of the case study.
Second,
caution is anticipated with regard to the sample size. Although the data is a reliable set in order
to identify data patterns, a small data sample makes ambitious conclusions challenging to
defend. However, due to the exploratory element of the research, the aim of the present study
was one of ‘making a lot out of a little’ (Silverman, 2013) by looking at a small body of data
in intensive detail. In support, Rubin and Rubin (2005: 68) argue, ‘an interviewer does not need
a large amount of respondents to increase the reliability or credibility of their findings’.
Furthermore, the sample size also reflects the desire to gain enough data yet ensure that
participant recruitment and data collection did not exceed the timescale and operational
limitations of the study. Moreover, the sample size mirrors the fundamental structure of
PREVENT in line with local funding allocations based on risk assessment. Lastly, the sample
size is reflective of the axiology that underpins the present study. Recognising that there are
fewer PREVENT officers operating in ‘non-priority/low risk’ areas should not mean that their
voices remain hidden or considered inconsequential. Research which continues to focus on
‘priority/high risk’ PREVENT areas only exacerbates the marginalisation of those working
within PREVENT in ‘low risk’ areas from both political and academic discourse. Importantly,
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whilst historically the police are far from a marginalised group, in the context of empirical
research into PREVENT, the police very much embody underrepresentation.
Third, it is important to recognise the potential
paradoxical effects of ‘over-rapport’. Rorty (1979) emphasised how we constitute knowledge
through conversation and social practice. For Rorty (1979), rather than knowledge being
conveyed in conversation, it is brought into being. This has resonance for qualitative
interviewing as we become increasingly aware of the constructive nature of social interaction
and the part played by active subjects in making sense of their experiences (see inter alia
Gubrium and Holstein, 2003a and b; King and Horrocks, 2010: 17). Indeed, Shotter (1993: vi,
emphasis in original) describes how ‘conversation is just one of our many activities in the
world. On the contrary, we constitute both ourselves and our worlds in our conversational
activity’. In relation to these observations, developing a rapport with participants in order to
strengthen the integrity of the data paradoxically can compromise the validity of the data; the
very thing I was trying to minimise.
Fourth, Silverman (2011, italics in original) states that interviewers are
active subjects. Gubrium and Holstein (2004: 152) add to this argument stating, ‘while the
respondent ... actively constructs and assembles answers, he or she does not simply “break out”
talking. Neither elaborate narratives, nor one word replies emerge without provocation’.
Rapley (2004: 26) takes this argument further and posits, ‘interviewing is never just ‘a
conversation’: the interview ‘may be conversational, but you as the interviewer do have some
level of control. You routinely decide which bit of talk to follow-up, you routinely decide when
to open and close various topics and the interaction as a whole’. Whilst due consideration must
be given to the open-ended nature of the interview scenario, there is also the converse argument
that philosophically, complete researcher neutrality does not exist since inevitably the
researcher brings a point of view to all conversations producing a negotiated text (Fontana and
Frey, 2005, italics in original). Fifth, my presence and
reactions as a researcher within the initial informal meetings might have influenced
participants’ responses at the fieldwork stage. However, throughout the fieldwork stage, I was
extremely conscious that building trust with participants was not seen as ingratiating behaviour,
which could ultimately reinforce participants’ opinions in a way that can become leading.
Ultimately, however, it is only the participants who can assess the degree to which trust was
viewed as ingratiating or leading. Conversely, had I failed to establish a rapport with any of the
interviewees, this might have reinforced insider/outsider perspectives and/or minimised the
‘truth status of respondents’ accounts’ (Silverman, 2011, see also King and Horrocks, 2010).
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Consideration must also be given to the
inconsistency in levels of trust between the PREVENT team and participants accessed through
theoretical, opportunistic and snowball sampling. Such inconsistency has a greater chance of
participants from the extended sample providing an “official” account rather than truthful
account. As Wright Mills (1940: 904) succinctly puts it, ‘human actors do vocalise and impute
motives to themselves and others, attributing this to their perceptions based on past experience’.
Thus, it is important to recognise the heightened level of risk attached to snowball sampling
when considering the acquisition of biased data. For instance, participants might have
suggested individuals who held similar views, beliefs and accounts thus reaffirming their own
views. Such caution finds support in Lyman and Scott (1970) postulation of ‘accounts’ - that
is, a linguistic device employed whenever an action is subjected to valuative inquiry’ (Lyman
and Scott, 1970: 112).
As the example in the Section 5.7.6 demonstrates, even when significant
effort is made to minimise power imbalances within the interview environment, this does not
mean that our “brought-selves” do not or cannot enter the interview scenario. Thus,
consideration of the validity of this particular interview is important since, on a broader level,
my own “brought-selves” (as an academic) is part of the group the participant referred to.
It is also important to be reflexive with regard to writing and
representation at the data analysis stage as well as within pragmatic fieldwork. Two such issues
lead to the data analysis of the present study becoming a highly personal and moral activity
particularly with regard to representation. The first issue regards the size of the data sample.
Working with a small data sample allowed me to obtain a significant degree of trust. However,
this made analysing the data an even more personal task, one that came with an unforgiving
social responsibility to tell the story of participants in the most accurate way possible. As well
as this, as a researcher, I felt a degree of guilt having been responsive (face-to-face) to the
participants on many occasions, to then using their working lives for the purpose of bringing
their experiences to a wider audience.148 Consequently, at the write-up stage it was important
to continuously reflect upon with whom I was communicating with in order for my own
brought-selves not to take hold leading to a sense of audience pervading the writing and the
written text (Clandinin and Connelly, 2000: 149).
During the write up stage it was also imperative to balance the verisimilitude
148 Tierney (1995) identifies four potential audiences: colleagues; those involved in interviews and observations;
policy makers; and the general public.
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(Richardson, 1994: 124) of academic writing – that is, a level of detail that makes the work
come alive - whilst maintaining a style of writing that was personal, accessible and, most
importantly, remained fully committed to telling the participants’ accounts accurately. As
Czarnaiwaska (2004) makes clear, writing objectively, in a scientific way, has the impact of
silencing the participants thus perpetuating the exact thing the present study aims to negate.
Moreover, as Gilgen (2005) writes, ‘this silence is contradictory to qualitative research that
seeks to hear all voices and perspectives’. Subsequently, there was a conscious effort not to
overlay the voice of the participants by the authoritative voice of the researcher and a
determined effort not to decouple the responsibility of the researcher from an interpretation of
the data (Creswell, 2007). In essence, producing a chapter on findings and data analysis became
a highly daunting endeavour, not least because of personal reflexivity and knowledge
construction firmly situated within the ethical domain (Doucet and Mauthner, 2002).
5.8 Data Analysis
5.8.1 Transcription of Data
In order to ‘log the data’ (Lofland and Lofland, 1995: 66) an audio-recorder was utilised as
opposed to taking field notes. The strength of using audio-transcription lies in the fact that
recorded conversations can be replayed, transcriptions can be improved, and analyses can take
off on a different tack unlimited by the original transcript (Silverman, 2013). The tape-recorded
conversations were studied extendedly involving close, repeated listening. This offered the
advantage of revealing any previously missed features of the originalisation of talk (Silverman,
2013). Moreover, analysing the transcripts in-depth helped to satisfy ‘low inference
descriptors’ (Silverman, 2011); it is debatable whether fieldwork notes offer this advantage.
Furthermore, it was recognised that taking field notes could have affected the natural free-
flowing element of conversation because of the difficulty of asking questions and writing
answers simultaneously (Creswell, 2007: 134). As Pile (1990) observes, quickly inscribed
notes may be incomplete and partial which could prove integral to the research findings. For
example, an interview with a CHANNEL Intervention Provider exceeded three hours. Thus,
had field notes been taken as opposed to audio-recording equipment, it is likely that a great
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deal of this data would have been lost through the inevitably of playing “catch-up”. 149 As Pile
(1990: 217) makes clear:
‘An analysis of language can only be carried out with confidence if there is an entire record of a
conversation. Hastily scribbled notes are not accurate enough to be used in this way. Tape-recorded
sessions provides the only viable data for this kind of analysis’.
I alone transcribed data by typing the audio recordings for reasons fourfold. First, I
wished to become fully immersed in the data in order to gain a heightened level of familiarity,
which might have been less possible through eliciting secretarial assistance. Second, it is
generally accepted that doing your own transcription is the first step of data analysis since it
allows for the initial formulation of emerging codes and themes (Braun and Clarke, 2006). As
Atkinson and Heritage (1985) point out, the production and use of transcripts are essentially
research activities. Third, undertaking my own transcription was in keeping with the
interpretative element of the data analysis (see Bird, 2005) where meanings are created, rather
than simply a mechanical one of putting spoken sounds on paper (Lapadat and Lindsay, 1999).
Fourth, I decided that it was my responsibility alone to ensure confidentiality was adhered to
(see Yin, 2014). Of note, to maintain the confidentiality of participants, any names including
colleagues, locations (such as cities, towns, universities, buildings, etc.,) have been replaced in
the transcribed data by bracketed text, e.g. ‘(name of colleague)’, ‘(name of location)’, etc. This
also helps to preserve the anonymity of the case study location, as well as individual
participants. Most appropriate to the
present study was full (verbatim) transcription. Commenting on the transcription process more
generally, King and Horrocks (2010: 143) point out, ‘the golden rule to avoid becoming
swamped by the transcription process is to think carefully about what needs to be transcribed,
and at what level of detail’. Nevertheless, all interviews were transcribed verbatim to ensure a
level of detail beyond basic. Moreover, partial transcription of the data through identifying
common themes or main areas of interest conflicted with the research epistemology. Lastly,
full verbatim transcription is in keeping with thematic analysis which requires a rigorous and
thorough “orthographic” transcript – a “verbatim” account of all verbal (and sometimes
nonverbal [e.g., coughs]) utterances (Braun and Clarke, 2006: 17).
All words were included in the
149 Prior to each interview, every participant was informed that if they did not feel comfortable with the recording
of interviews, field notes would have been taken.
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transcription although intonation and body language descriptions were not. The omission of
paralinguistic aspects can lead to ‘missing content’ (Silverman, 2013) when trying to make
sense of the transcribed data. It can also lead to a ‘shallower understanding’ of participants’
experience (King and Horrocks, 2010). Nevertheless, paralinguistic content was deemed not
central to the analysis. Moreover, to minimise distorting the meaning of data, only minor
‘tidying up’ was carried out. Whilst acknowledging that full verbatim is without grammatical
or other tidying up, the decision was taken in order to aid comprehension. For example, on
several occasions the word ‘us’ was used as opposed to ‘our’. It was felt that this could have
been obscure to readers. Lastly, cursing words have been included in the transcribed data since
such terms emphasised the nature of participants’ understandings and feelings around certain
experiences, accounts and discussions.
5.8.2 Thematic Analysis
Existing literature which explores the understandings and experiences of PREVENT officers
is particularly sparse. Thus, the present study took an exploratory approach across professionals
since there was no desire to compare and contrast the accounts of professionals across
disciplines. The data afforded by professionals in interrelated roles was used to supplement the
intensive qualitative data in a complimentary or challenging fashion. Thus, the data collected
from the interviews was amalgamated into one data set.
Transcription of the data sets was analysed using Braun and Clarke’s (2006) six-phase
model of thematic analysis150 (as discussed later in the chapter). Thematic analysis seeks to
apply meaning to data by exploring salient themes within a text at different levels (Attride-
Stirling, 2001) through ‘careful reading and re-reading of the data’ (Rice and Ezzy, 1999: 258)
- this allows the context of the discussion to be maintained. Moreover, thematic analysis
techniques were selected primarily because of the flexibility and variability with which they
can be applied to provide a rich and detailed account of the data (Braun and Clark, 2006).
The data analysis adhered to a more detailed and nuanced account of thematic analysis
concentrating on particular themes that were identified as “key” to participants’ accounts.
Boyatzis (1998: 161) defines a theme as ‘a pattern in the information that at minimum describes
and organises the possible observations and at maximum interprets aspects of the
phenomenon’. Importantly, the “keyness” of a theme was not necessarily dependent on
150 For a breakdown of this process, see Appendix F.
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quantifiable measures, but in terms of whether it captured something important in relation to
the overall research question (Braun and Clarke, 2006: 10). As Braun and Clarke (2006) make
clear, prevalence is an important factor to consider when coding for themes in the data, however
they also emphasise that this is not something that is or should be quantifiable. Rather, the data
analysis approach followed observations by Lofland et al. (2006) who emphasise the
importance of “meaning”: what concepts participants use to understand their world and what
meaning or significance such concepts have for them. Acknowledging that a rich overall
description of the data would have allowed for an accurate reflection of the content of the entire
data set, doing so would have potentially limited the depth and complexity of the key themes.
The data analysis of the present
study is positioned within a constructivist paradigm, which maintains that all knowledge is
perspectival and contingent (Lyotard, 1984). Moreover, in contrast to a semantic approach -
that is, the analyst is not looking for anything beyond what a participant has said or what has
been written (Braun and Clarke, 2006) - thematic analysis was carried out at latent level.
Analysis at the latent level identifies or examines the underlying ideas, assumptions,
conceptualisations and ideologies that are theorised as shaping or informing the semantic
content of the data (Braun and Clarke, 2006: 13). Furthermore, the analytical procedure was
informed by Schutz’s (1970) social phenomenology - in particular Schutz’s second postulate -
where a level of subjective interpretation is in line with preserving the participants’ subjective
point of view whilst acknowledging the context within which the phenomenon was studied (see
also Horsfall et al., 2001; Leininger 1994). This approach is in keeping with latent analysis
since the analytical process involved interpretation: where there is an attempt to theorise the
significance of the patterns and their broader meanings and implications (Patton, 1990). As
Gibbs (2007: 52) points out, ‘coding should remain grounded in the data in the transcript, but
this does not mean it simply reflects respondents’ view of things’. Participants’ accounts of
PREVENT as a ‘network’ are instructive in this respect. Moreover, to strengthen the rigor of
interpretation in the present study, findings are illustrated with quotations from the raw data
where interpretation has taken place (Rice and Ezzy, 1999). This ensures that data
interpretation remains directly linked to the words of the participants, thus strengthening the
credibility and validity of the data (Patton, 2002).
Other data analysis techniques were considered but deemed inappropriate for
the present study. In particular, Interpretative Phenomenological Analysis (IPA hereafter)
(Smith, 1996) was considered. IPA ‘aims to explore in detail participants’ personal lived
experience and how participants make sense of that personal experience’ (Smith, 2004: 40).
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This type of analysis allows for in-depth analysis of individuals’ perceptions, understanding
and accounts. Importantly, whilst IPA donates a social constructivist epistemological position,
it is particularly well suited with a ‘bottom-up’ data-to-theory framework (Lander and
Sheldrake, 2010). However, since the present study contains ‘theory propositions’ (Yin, 2014),
thematic analysis was deemed most appropriate since the flexibility of thematic analysis allows
both bottom-up data analysis and theory driven analyses (Braun and Clarke, 2006). Moreover,
since the data sample was extended to include professionals working within various interrelated
CT roles, IPA would not have been appropriate as a method of analysis for the present study
given that it requires a homogenous sample (Brocki and Wearden 2009).
5.8.3 Data Presentation
There are differing levels of verbatim data that researchers can include when presenting their
data. In the present study, a large number of direct and descriptive quotations are presented in
order to retain the content and richness of the original data which increases the reliability of
the data (see inter alia Silverman, 2011). Less descriptive data has also been integrated into
the text where extremely poignant to the case in point.
There are different methods available to researchers for structuring their data
presentation. In the present study, data has been separated into two chapters (chapters 6 and 7)
in order to maintain a level of clarity for readers. Chapter 6 presents the key findings from the
interview sessions as broken down into three overarching (or organising) themes: risk and trust;
PREVENT as safeguarding; and risk as gut feeling. Within these organising themes, there are
a number of sub-themes that are explored. Following this, the primary concern of chapter 7 is
to analyse the data by making comparatives between the research findings and literature review
(Parts I and II of the thesis).
5.8.4 Data Analysis Approach
The data were subjected to several levels of scrutiny following a framework described by Braun
and Clarke (2006):151
151 It should be noted that data analysis occurred in a non-linear fashion rather than a smooth transition between
each phase.
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Phase 1: Generating initial codes
Phase 2: Searching for themes
Phase 3: Organising and reviewing themes
Phase 1 Coding: ‘the production of initial codes from the data’ (Braun and Clarke, 2006: 18)
Following initial immersion in the data, the thematic analysis process began by manually
identifying codes within the data, rather than utilising specific computer software (other than
Microsoft Word). This phase involved the production of initial codes from the data (Braun and
Clarke, 2006), with the central idea to move from a lower level of meaning (the raw text) to a
higher level of understanding that can inform the research question (Auerbach and Silverstein,
2003). A code refers to ‘the most basic segment, or element, of the raw data or information that
can be assessed in a meaningful way regarding the phenomenon’ (Boyatzis, 1998: 63). Whilst
a code is considered as the lowest order premise found in a text (Auerbach and Silverstein,
2003), nevertheless, the process of coding is part of analysis (Miles and Huberman, 1994) since
it entails organising research data into meaningful groups (Tuckett, 2005). The content of the
entire data set was systemically coded, rather than coding to identify particular (and possibly
limited) features of the data set. This approach helped to give full and equal attention to each
data item, and identify aspects in the data items that subsequently formed the basis of repeated
patterns (themes) across the data set (Braun and Clarke, 2006). Codes could entail single or
stand-alone responses, however, there were no such instances given the open-ended nature of
the interviews. In relation to the organisation of data, a
‘block and file’ approach to thematic analysis was considered. A benefit of a block and file
approach is that the data remains largely intact with easy-to-access quotes (Grbich, 2013: 63).
However, it was conceded that this approach would have created large columns of data that
would have become unwieldy (Grbich, 2013: 63). Consequently, a combination of ‘block and
file’ and ‘conceptual mapping’ thematic analysis was carried out. This minimised the
disadvantage(s) of adhering to a single analytical approach i.e. simplifying and
decontexualising the data against the generation of unwieldy data sets. Moreover, using both
approaches allowed the data to be theoretically interpreted at an earlier stage (Braun and
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Clarke, 2006). Given that the organisation of data did not
exclusively adhere to a block and file approach, data extracts were coded inclusively to
minimise the loss of context (Bryman, 2001). Each code was linked to the text response (each
response was labelled with a letter to identify the transcript and a number so it could be located
within the transcript (see Appendix H). Of note, certain extracts were coded by more than one
theme. For instance, certain themes overlapped within participants’ accounts, e.g. “buy-in” was
coded alongside “familiarity”, “openness”, “honesty” (key theme one) and also “safeguarding”
(key theme two). However, there was enough distinction between each theme thus avoiding
the potential pitfall of ‘too much overlap’ (Braun and Clarke, 2006). Moreover, when testing
provision themes against the accounts of participants from interrelated CT roles, certain
participants’ accounts provided an inconsistency across the data set. However, negative cases
have also been explored, thus reducing researcher bias by challenging the robustness of the
theme. Lastly, codes were generated using an inductive reasoning (bottom-up) approach, where
the codes identified emerged from the data rather than a pre-existing theoretical coding frame
(Patton, 1990) e.g. template analysis. This ensures the thematic analysis is data-driven rather
than trying to fit participants’ views into a theoretical framework (Braun and Clarke, 2006).
Phase 2 Searching for themes: ‘This phase re-focuses the analysis at the broader level of theme’
(Braun and Clarke, 2006: 19)
After all the data had been coded and collated, codes were then sorted into potential themes.
The name of each code was saved in a specific Microsoft Word file and a brief description was
made in order to organise each code into theme-piles (see Appendix J). At this stage, some
codes went on to form mains themes e.g. “trust” whilst other themes e.g. “product”, “buy-in”,
went on to form sub-themes with an organising theme. Separating themes into ‘sub-themes’
and ‘main themes’ allowed for a level of structure and a hierarchy of meaning within the data
(Braun and Clarke, 2006).
Phase 3 Organising themes: This phase involves the refinement of Candidate Themes (Braun
and Clarke, 2006)
Once codes had been identified, commonalities were explored to develop organising themes.
Organising themes arrange codes into clusters of similar issues. They bring together
components/fragments of ideas or experiences, which are ‘often meaningless when viewed
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alone’ (Leininger, 1985: 60). However, whilst data within themes should cohere together
meaningfully, there should be clear and identifiable distinctions between themes (Braun and
Clarke, 2006). Accordingly, the themes were reviewed to promote internal homogeneity
(where data within themes cohere meaningfully) and external heterogeneity (clear distinctions
between themes) (Braun and Clarke, 2006). Moreover, the process of organising themes was
facilitated by two levels of reviewing. First, reviewing at the level of the coded data extracts
was carried out by re-reading the text segments associated with each code and consideration
was given to the strength of a coherent pattern; what Yin (2011) terms ‘reassembling the data’.
Second, the entire data set was reviewed in order to consider the validity of individual themes
considered against the original data set (Braun and Clarke, 2006). At this stage, each theme
was judged against level of overlap, and in relation to the other themes.
Chapter 6
Key Findings
6.1 Introduction and Chapter Organisation
This chapter reflects on the key themes which were distilled from the interview sessions with
PREVENT police officers and practitioners from interrelated CT roles. As a caveat, this chapter
does not examine the two areas of risk outlined in the literature review. Drawing comparatives
between literature review and research findings is the primary purpose of the following chapter.
The key themes from the research data are outlined below:
6.2 Key Theme 1: Risk and Trust;
6.2.1 “Buying-into” PREVENT through Trust
6.2.2 Trusting PREVENT
6.3 Key Theme 2: PREVENT as Safeguarding;
6.3.1 Embedding Expertise through Safeguarding
6.3.2 “Radicalisation: Another Form of Abuse”
6.4 Key Theme 3: Risk as Gut Feeling;
6.4.1 “It might be nothing, but ...”
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6.2 Key Theme 1: Risk and Trust
Common to all participants accounts was an understanding that a key objective of PREVENT
is to forge alignments and build relationships between security, local authorities and civil
society. 152 This objective was accorded importance since it establishes a wide-reaching,
‘overt’, collaborative counter-terrorism capacity;153 what is termed the ‘rich picture’ approach
(Gregory, 2010: 94; see also Innes et al., 2011: 16). Whilst countering terrorism necessarily
requires a degree of secrecy and some of what takes place does so out of public view,
participants recognised that for PREVENT to be successful and durable, PREVENT cannot be
solely the domain of the police.154 Thus, both internal and external engagement was considered
a chief priority of PP. This is in keeping with the PREVENT strategy which states: ‘PREVENT
must be a cross-government and cross-community programme to meet its objectives (HM
Government, 2011b: 100); challenging ideologies is a collective responsibility (HM
Government, 2011b: 44).
Adding support to research by Innes et al. (2011), participants recognised that
engagement under the auspices of PREVENT is designed to perform two main functions. First,
engagement work was understood to provide a communication channel in order for individuals
and groups to convey their concerns to the police. However, participants were fervent in their
accounts that PREVENT, through a multi-partnership approach, should not be understood as
‘community intelligence’ generation. Rather, the message was one of promoting a “willingness
152 This was understood as “using an army of helpers”. 153 Interview with practitioner No.04. 154 A common theme distilled from the interviews was that PREVENT was understood as a “societal”
responsibility rather than a “policing” responsibility.
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to share concerns”.155 Thus, the emphasis was on providing partners (and civil society more
generally) with an understanding of how to act upon risk and concern(s). Second, engagement
was considered important in order to inform and reassure partners and communities about
PREVENT activities, thus coinciding with the concept of reassurance policing:156
“Risk assessment is something that perhaps us as police probably wouldn’t be aware
of because it’s quite a subtle and specific area of work that they’re the experts in.
We then rely on them to put two and two together to: a) recognise the risk of
vulnerability to think ... what am I going to do about? Who do I contact? ... And
that’s where I think we face a real challenge of PREVENT ... getting that message
out there and; b) making sure it’s clearly and correctly understood”.157
“For me, one of the things essential to PREVENT is it’s about trust and confidence
– trust and confidence in the process and the people involved. PREVENT’s very
much in that pre-crime space ... and I think that’s quite a good phrase because it’s
very much about ... can we give people, in terms of communities, partners, and
internally within the police, the trust and confidence to understand what we’re trying
to do ... to work with vulnerable people, to know what to do with that information
and to have that trust and confidence to know by giving us that information they’re
not going to have their picture all over the front of the local newspaper - we’re not
going to breach their confidentiality, etc.”158
These two chief priorities of PREVENT coincide with ‘strategic enablers’ as outlined in
chapter 2. The aim of the former is ‘strategic communications’, whilst the aim of the latter is
to ‘develop understanding, analysis, and information communications’ (Turley, 2009: 6).
In chapter 2 it was outlined how the OSCT ensures smooth delivery of
PREVENT by co-ordinating their police element; local authorities; and community partners.
Moreover, the aforementioned ‘strategic enablers’ help to achieve the last strategic objective
of PREVENT, institutions. However, a multi-partnership approach in line with the last strategic
objective of PREVENT should not be simply assumed at local level. Since the geographical
area was defined as ‘low risk’, it therefore had no direct funding for statutory partners on a full-
155 Interview with practitioner(s) No.01; 02; 03; 04; 05. 156 Several participants suggested that key to overt engagement is “myth-busting” common misconceptions about
PREVENT. 157 Interview with practitioner No.02. 158 Interview with practitioner No.04.
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time basis. This is a result of the way PREVENT is fundamentally structured at local level (see
HM Government, 2011b). Importantly, whilst participants recognised that considerable effort
is made to reach out and engage with both communities and institutional partners, effort does
not automatically equate to success. Thus, both internal and external engagement had be
“worked on” and “won”.159 Subsequently, increasing the trust and confidence of internal and
external partners was understood to be the most important aspect of overt counter-radicalisation
through PREVENT. 160 As one participant put it, “everything comes down to trust and
confidence - without which PREVENT would not work”.161 Thus, in large part, the participants’
conceptualised risk as interrelated with the notion of trust.
The concept of trust was by far the most
recurring theme in participants’ account of PREVENT operationally at local level; largely since
it was recognised that PREVENT has moved away from a ‘threat-centric model’ to an overt
counter-radicalisation methodology. As one participant put it, “the PREVENT team is the
Neighbourhood Policing Team of Special Branch”.162 The overt element of PP as interrelated
with the concept of trust is succinctly outlined in the following interview dialogue:
“We always, always deliver what we say we are going to deliver, when we say we
are going to deliver, and I think all these ... maybe small bits, that might not even be
linked with PREVENT as such, give out trust and confidence. And I think we’ve
established some very good relationships in key places and I’d like to think by
working more with them, they now completely trust the way that we work because
they’ve seen the way things are done and when we say we’ll try and get back to them
with information by saying, “Look, we might not be able to because this could
become quite a hot issue” ... If you are completely open and honest, and by giving
examples of how you’ve done things in the past ... And again, word clearly gets
around, because in the old days nobody had heard of you and now people come to
you who you’ve never interacted with but you’d been recommended by somebody
else, you know ... saying things like, “You should be getting these people into your
school”. That’s always reassuring because you presume that they wouldn’t do that
if they had had a bad experience. Trust and confidence is absolutely key and that’s
the same for partners, agencies and community members, because occasionally you
159 Interview with practitioner(s) No.03; 05. 160 This view was shared by all PREVENT police officers. 161 Interview with practitioner No.04. 162 Interview with practitioner No.04.
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can go into some quite delicate situations and again ... by being open and honest it
hopefully builds up that trust and confidence element”.163
The need to build trust is recognised in the PREVENT strategy which clearly states, ‘trust in
PREVENT must be improved’ (HM Government, 2011b: 6 [Figure 3.15]). However, in the
battle to win “hearts and minds”, the focus of the PREVENT strategy is centred on increasing
trust at local community level (macro level; see HM Government, 2011b). Subsequently, the
PREVENT strategy offers little conceptual insight into issues of inter-organisational trust
(micro level). However, central to participants’ accounts was the fact that PREVENT officers
not only had to win “hearts and minds” of the local community, but also those of semi-public
professionals, local authorities and internal partners. The discussion that follows provides
perspective on the dynamics of inter‐organisational relationships within PREVENT with an
emphasis on institutionalising logics of prevention via internal and external engagement.
6.2.1 “Buying-into” PREVENT through Trust
Common to all participants responses was the conceptualisation of PREVENT as a “product”,
whereby key institutional partners e.g. the wider policing family, local authorities, semi-public
professionals and individuals and groups at local community level “bought into” PREVENT
as an agenda.164 The notion of “buy-in” which the participants referred to can be understood as
institutionalising logics of prevention resulting in counter-radicalisation engagement via
multi-agency partnership collaboration.165 Participants regularly referred to the engagement
process (both externally and internally) as getting the required “buy-in”:
“When we started out it was done internally. Now we need to get our messaging out
to staff; you pick on key partners, so local authorities: fire, probation, health, higher
education, etc. So, you sort of, target our partners. That alone is one heck of amount
of work if you think about the amount of people involved in that, bearing in mind
there’s no one size fits all, and that’s been a process. If you go to the Heads of your
partners and get their buy-in it makes it much easier to roll it out further along down
the line”.166
163 Interview with practitioner No.02. 164 Interview with practitioner(s) No.01; 02; 03; 04. 165 This is my own interpretation from the interview sessions. 166 Interview with practitioner No.04.
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“We are Special Branch cops but this is still very much about the pre-criminal space,
dealing with people and issues often long before they do anything criminal. So we
have to tread, understandably, very carefully in order to get that buy-in”.167
Moreover, participants often referred to the PREVENT agenda as a “product” to be “sold” to
key partners both internally and externally.168 The emphasis was on a sensible and efficient
approach towards delivering PREVENT as a “product”.169 Getting the desired buy-in was a
process that usually took place in the form of presentations and/or training specifically targeted
towards those identified as having a key role to play in counter-radicalisation on the ground.
Those considered key partners included the wider (internal) policing family; the education
sector; health institutions; local charities; the housing sector; and the local community more
generally.170 Furthermore, various participants likened internal/external engagement to a form
of “sales pitch” where the PREVENT agenda was or was not “bought into” by partners.171
Related to this aspect, PREVENT was understood as a product to be “sold” since engagement
work entailed approaching organisations whom, at times, had limited understanding of
PREVENT and/or the CONTEST strategy.172 Thus the aim of selling PREVENT through a
“sales-pitch” approach was to make partners aware of PREVENT173 and in turn, provide a level
of understanding with regard to how PREVENT “fits” within inter-connecting organisations
and institutions.174 Participants also discussed
external engagement with civil society. One specific ACPO product that was considered to be
producing positive benefits with regard to police/community relations was ‘ACT NOW’:175
“One of the teachers at (name of local college) asked if I would come along to the
Air Cadets, so I’ve gone and given a presentation on the ACT NOWs at the Air
Cadets. And again, word of mouth, another Air Cadets have asked up in (name of
167 Interview with practitioner No.02. 168 Interview with practitioner(s) No.01; 02; 03; 04; 05. 169 Interview with practitioner No.03. 170 Whilst these were identified as key partners, several participants made it clear that there was no organisation,
institution or community that the PREVENT team would not engage with either internally or externally; as one
participant noted, “there’s nobody that we wouldn’t make the time for” (interview with practitioner No.02). 171 Interview with practitioner(s) No.01; 03; 04. 172 Interview with practitioner No.03. 173 Interview with practitioner No.04. 174 Interview with practitioner(s) No.03; 04; 05. 175 Interview with practitioner(s) No.01; 09.
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location) - which is what (name of colleague) looks after - so they’ve been doing
ACT NOW to the Air Cadets up there”.176
In brief, ACT NOW is an interactive CT exercise developed by the ACPO Prevent Delivery
Unit. It provides communities with an insight into how police officers make decisions in the
event of a terrorism incident. Moreover, ACT NOW is designed to ‘support engagement
between people from different communities, ages, cultures and faiths and to develop open
dialogue using facilitators in local settings’.177 It has an important role to play in supporting
wider community engagement and helping the police, its partners and local people tackle the
challenge from violent extremism.178 A participant discussed the interactive nature of ACT
NOW:
“ACT NOW is a table-top exercise. Its DVD-based, it gets everyone in the room
acting as detectives and it takes you through a major incident. So, information comes
into the incident room, and we’ve got information on a group and a load of peroxide
has been purchased. What are you thinking? What are the information processes?
What information would you like? And it just opens up their eyes to loopholes and
how long things take to do and generally everybody really enjoys the product ... We
change it a little bit at the end ‘cause they’re all thinking at that point we’ll go ...
“Right a telephone calls come into the room, this is live time and I need answers
now”…”179
By implication, the success of ACT NOW does not necessarily materialise in the same way
across different localities, of which some participants reflected upon when discussing ACT
NOW in relation to local and regional difference(s).180
Another method of external engagement came in form of presentations
delivered directly to civil society by PREVENT police officers in order to spread awareness of
the PREVENT strategy following a specific incident. This can be understood as protective
intervention whereby police own the intervention in terms of defining the problem to be
addressed (Innes et al., 2011: 90). However, employing this approach was said to happen far
less frequently since the decision to “push” direct engagement (protective intervention), rather
176 Interview with practitioner No.01. 177 ACPO (2013a). 178 ACPO (2013a). 179 Interview with practitioner No.01. 180 Interview with practitioner No.01.
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than being “invited” by communities to engage (type 1 co-production) came with a significant
degree of risk.181 Thus, “inviting” rather than “demanding” participation in PREVENT(ion)
was understood to work in a circular relationship between communities and PREVENT officers
(or those representing PREVENT). As one participant put it:
“We’ve done talks directly with community groups. We’ve done talks in Mosques ...
Not many ... (name of colleague) is doing a group ... I think it’s sort of a presentation
tonight with (name of local charity) in (name of location). So, these things do happen.
We don’t tend to push it as much because ... you know ... Special Branch going into
community groups ... We tend to prefer to be invited because you can send out the
wrong message by saying we’re coming; we want to come to you ... So, you know,
you do get invitations but that’s more a slow burner ... I don’t think we’ve ever said,
nor would we ever say no to anybody who declares an interest. We’ll make the time
morning, noon, or night to speak to groups, but unless it’s something really
important or following a particular incident like a fall-out from EDL marches, we
don’t tend to specifically offer our services, but we are always happy to do it”.182
6.2.2 Trusting PREVENT
A crucial factor of whether or not internal and external partners “bought-into” the PREVENT
strategy was understood to be based on the notion of trust. Importantly, the level of trust and
confidence of partners was correlated with the level of “familiarity” of whoever was
representing or spreading awareness of PREVENT,183 which in turn, increased trust within
‘personal relations’. Moreover, levels of familiarity were considered against the longevity of
occupying a PP position:184
“I’ll speak from a (name of police constabulary) perspective. The longevity of which
I’ve been in post, which is (number) of years, (name of colleague) has been here a
bit longer than me, and people like the fact that it’s the same voice, it’s the same
person, and if someone’s got a concern, once you’ve done a few case studies with
181 Interview with practitioner No.02. 182 Interview with practitioner No.02. 183 Interview with practitioner(s) No.01; 02; 03; 04. 184 Interview with practitioner(s) No.01; 04; 05.
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someone they know that you’re not actually there to arrest someone at six o’clock in
the morning if there’s a concern about something”.185
“(Name of colleague) has got (name of location), and he’s been on the PREVENT
Unit ever since it started - even before it was called PREVENT. So he’s always had
(name of location), so he’s got quite a lot of contacts in that area - like universities,
colleges, local authorities ... So he’s able to canvas things with key institutions very
easily”. 186
It is interesting to note that common to the participants’ discussions was the fact that
levels of trust were correlated not only with radicalisation knowledge(s) or expertise of the
individual, but also with the personal demeanour of the officer and social knowledge of
communities and institutional partners; what is termed ‘soft power’ (see Innes et al., 2007).
Moreover, a heightened level of familiarity was said to allow PREVENT officers to canvas
PREVENT within a multi-partnership framework more efficiently and effectively.187 This was
understood as important since specific counter-radicalisation messages were said to often
trickle down to Neighbourhood Policing level and be promoted on behalf of the PREVENT
team through an internal multi-partnership methodology. Moreover, this mode of operation
was considered crucial since it was recognised that Neighbourhood Policing Teams (NPT) had
already established relationships with the communities they serve. Thus, utilising the ‘soft-
power’ of Neighbourhood Policing Teams was understood to be a particularly effective way to
take PREVENT forward 188 since PREVENT was conceptualised as a fine balancing act
between effectively maintaining fragile police/community relations whilst simultaneously
spreading counter-radicalisation messages and awareness of PREVENT:189
“Nationally going out to communities has been really, really hard. And I think what
we’ve done here is ... we’re only a team of (number) ... you’ve got to use an army of
helpers out there. So, from a policing perspective, we’ve got our Neighbourhood
Policing Teams and that’s how (name of police constabulary) does their policing, it
is through their Neighbourhood Policing Teams. So for the sake of argument, if we
want to get the message out to say ... the Somali community, there are two
Neighbourhood Officers based at (name of university), they’ve got a lot of contacts,
185 Interview with practitioner No.04. 186 Interview with practitioner No.01. 187 Interview with practitioner No.01. 188 Interview with practitioner No.04. 189 Interview with practitioner(s) No.02; 04; 14.
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we use them. If we want to message out the Bangladeshi community in (name of
location), we got to the Neighbourhood Policing Teams there”.190
“For about four and a half years now, we have had identified Single Points of
Contact within our Neighbourhood (Policing) Teams, people such as the Community
Cohesion Officers who we engage with, so we engage heavily with them should we
need to put out a certain message, and we liaise with them directly, you know? The
Neighbourhood Teams and Single Points of Contact are like another arm of
PREVENT, because we have the knowledge of PREVENT, they have the contacts.
And, we also engage through the IAG’s – Independent Advisory Groups, to get key
community members involved in it. So as much as we might not necessarily be there
day-to-day, the messaging of this is done at a precautionary level in (name of
location) that’s the thing, so it’s proportionate to the make-up”.191
“If you haven’t got the buy-in of your Neighbourhood Teams, you really are missing
a trick. And, you know, there’s no doubt that a significant part of the security
services’ work originates from information that comes from Neighbourhood Teams
– that’s a fact. So, although it’s very, very rare, with the help of neighbourhood cops,
I’m hoping there’s enough within each team now that something will get flagged up
with enough experience compared to say, two or three years ago ... there’s enough
visitors to the door, whether it’s an email through or a call: “have a look at
this”…”192
When discussing the importance of trust as linked to overt engagement, participants’
accounts also provide enlightening perspective on the “communities defeat terrorism” rhetoric
that is ubiquitous in government policy. Whilst all participants were sanguine about the
potential of communities defeating terrorism, such a pronouncement was understood to be
utopian. One participant succinctly summed up the situation thus: “This idea ... this great
joined-up working with the community isn’t there and I can’t ever see the day that that happens.
It happens on a small-scale with certain individuals within a community”.193 Rather than
approaching communities directly or vice versa, it was suggested community engagement
happened far more prevalently with key trusted individuals both internally and externally and
190 Interview with practitioner No.04. 191 Interview with practitioner No.05. 192 Interview with practitioner No.02. 193 Interview with practitioner No.02.
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not with “communities” in the broader sense of the term.194 Utilising key trusted individuals is
more akin to the concept of ‘strong network ties’ (Innes et al., 2011; Gravonetter, 1973, 1983)
emanating from theories on social networking (Gravonetter, 1973, 1983). In a recent article,
Spalek (2014: 832) terms these ties ‘connectors’ – people who are able to negotiate “sameness”
and “difference” in order to build relationships with people so as to create environments
conductive to implementing counter-terrorism initiatives. For Spalek (2014: 832) ‘connectors’
identifies social connectivity as a dimension to the role of connector. As Spalek (2014: 846)
observes, ‘individuals are interacting with wider networks of people and organisations,
building bridges and connections. In the context of counter-terrorism, connectors are therefore
people who are socially networked, in that they are able to develop purposes of preventing and
responding to terrorism’. Whilst a direct approach at
local community level was certainly not unheard of, it was considered rare.195 Rather, the
emphasis was on engaging with key trusted individuals in the first instance, be that a
professional within the health sector, the education sector or society more broadly.196 The
following interview dialogues reflect upon such:
“And you know ... a direct approach to communities like I’ve said wouldn’t be, as
such, a last resort because sometimes you go direct to the person themselves ... but
you have to tread very carefully and work out, why are you doing it, what are you
hoping to gain, what are the downsides, etc. ... Because it is ... it is risky. You say
something wrong and you know, a friend’s family might hear in the community and
literally ... years of hard work might be undone by you making an unnecessary or
uncalled for or undiplomatic move. And ... you know ... literally, within certain areas,
it’s taken months, if not years, to regain trust ... so in your communities you’ve got
to go very carefully”.197
“You do get direct contact, for instance, (name of colleague) yesterday met a
councillor in (name of location) who is Muslim - really good guy, done a lot of work
with him, I have an awful lot of trust in him and he understands PREVENT ... and
he has come forward with a number of things to discuss with regard to an individual
194 One participant did voice concerns regarding the problematic nature of unofficial and unelected “community
leaders” representing community preference and concern. 195 Interview with practitioner No.02. 196 Interview with practitioner No.02. 197 Interview with practitioner No.02.
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or an incident or community tensions or whatever. And it’s about using those key
individuals within a community”.198
Moreover, common to all participants’ accounts was the fact that PREVENT relies heavily on
key trusted individuals both internally and externally in order to push awareness of PREVENT
(or specific counter-radicalisation messages) out to the community (type 2 co-production)
when a direct policing approach was considered too risky (as measured against fragile
police/community relations). The emphasis was on “spreading the word” using key trusted
individuals as partners within communities to promote an understanding of PREVENT199 or
canvas specific counter-radicalisation messages:
“If you need to go and speak to communities, you’d usually try and identify a trusted
person within the community, as opposed to just going into the community. Because
you know, you’ve got to be aware of the effect on an individual in a community if
you start ... “Oh, we’ve got an individual, we’ve got concerns about A, B, C” ... you
know, you’ve got to understand the community the police have came in asking
questions about, it would be suicidal ... because ... you know ... that community would
never ... and understandably ... would never come forward. So if you’ve got a
particular issue, you’ve got to delicately try and find somebody within the
community”.200
“It’s almost a hypercritical way that I’m looking at it. I want their help but I can’t
go to them. And, I think what you have to do is, you have to go through your partners.
You go through some key individuals within partnerships, we do have some key
contacts and you try and spread the message that way because you can’t just go
around saying, “Right PREVENT is going to do a presentation”, because people
will become scared, they won’t get on board and you create the complete wrong
atmosphere”.201
“At the end of the day, if I want to speak to Bangladeshi community, “Who are you?”
“Special Branch”. And you can see where that goes. But if that message is delivered
by a local police officer, somebody they know and trust, or likewise, someone from
198 Interview with practitioner No.04. 199 Interview with practitioner No.04. 200 Interview with practitioner No.02. 201 Interview with practitioner No.04.
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the local health authority, or local housing group who work with vulnerable tenants,
who understand our world, they can make that link and join up that information.
That’s how you get through to the communities, because it’s almost too risky to go
directly to them because you can alienate them big time, because the suspicions are
there, we’ll see stuff in the media and it’s out of context and you’ve got to make sure
the message is clear and accurate”.202
Moreover, much like research by Innes et al. (2011: 37-38), key trusted individuals were
considered to have a core repository of ‘soft’ skills that are needed to be able to network, co-
ordinate and mobilise interested actors in an effective manner. In this way, type 2 co-production
and protective intervention modes proposed by Innes et al. (2011) were understood to be
increasing interrelated when conceptualised against the notion of trust as linked to risk.
Whilst a
direct approach from individual community members203 was said to happen far less frequently
than co-production with trusted key individuals, nevertheless, the emphasis was one of being
“familiar”, “open” and “honest”204 in order to increase the likelihood of individuals simply
“sharing concerns”. One benefit of working within a PREVENT team with far fewer staff was
that engagement could become “personalised”205 thus bringing a heightened level of openness
and honesty to multi-partnership counter-radicalisation. In turn, this was said to minimise the
potential of individuals from being deterred from sharing concerns because of a complex (and
unfamiliar) policing environment.206 This can be seen in the following interview dialogues:
“We’re trying to emphasise as well that it’s not a case that we will be arresting this
individual that they’re asking us to consider. It is just about being honest and open,
and that they’re not given a switchboard number, they have a personal telephone
number into this office so they’re not going to have to explain everything over again
and possibly lost in translation from what they’re saying to where it ends up. They
do get the full package because we’re a small team, so we can do that with them. It
takes time, but if you’ve had an experience in the past with the police, it can sort of,
put you on your guard with what you might want to share”.207
202 Interview with practitioner No.04. 203 This approach to counter-radicalisation coincides with type 1 co‐production – collaborative working wherein
the community seeks police involvement to tackle a problem (Innes et al., 2011: 90). 204 Interview with practitioner(s) No.01; 02; 03; 04; 05. 205 Interview with practitioner(s) No.02; 03. 206 Interview with practitioner No.02. 207 Interview with practitioner No.03.
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“Things that come in from the community, like ... I visited on a couple of occasions
an Imam in (name of location) through my NBM208 and he knows me that well. He
knows that if he has a problem in his Mosque, he’ll ring my direct number, so
sometimes it doesn’t have to come in through an NBM team ... It’s getting yourself
known and getting that confidence that they know they can ring us and I’ll ring him
back”.209
“...Going back to the safeguarding issue with getting the buy-in with people who
work in that sphere, it’s making yourself visible. You get the trust by talking very
openly about what you’ll do with the information that they give ... And I think that
it’s perfectly understandable why some partner agencies might be reluctant to pick
up the phone, you know? It’s a very confidential area to report somebody in. You
have to have trust”. 210
Whilst working in a low risk PREVENT area with fewer staff offered some operational
benefits, participants also voiced certain disadvantages. When discussing the importance of
trust in relation to a multi-agency partnership approach, several participants discussed the issue
of high employee turnover within other institutions. It was suggested that high employee
turnover within key partner institutions had the potential to detrimentally effect already formed
relationships.211 Such relationships were said to be heavily reliant on trust and thus often take
a significant amount of time to develop.212 Subsequently, high staff turnover within other
institutions made it (potentially) more difficult for PREVENT, as an agenda, to remain on the
“radar” of partner institutions since trust had to be “worked on” or “won” all over again.213
Thus, regular engagement with key partners was accorded importance in order to maintain a
high level of commitment to the PREVENT agenda through making new recruits within partner
institutions aware of PREVENT.214 Moreover, regular engagement was considered important
since a multi-partnership approach was understood to be, at times, dependent upon fragile
208 NBM is an acronym for Neighbourhood Beat Manager. 209 Interview with practitioner No.01. 210 Interview with practitioner No.02. 211 An emphasis on the term potential is important since there was no suggestion that high employee turnover
automatically leads to relationship breakdown with key partner institutions. 212 Interview with practitioner No.05. 213 Interview with practitioner(s) No.03; 05. 214 Interview with practitioner(s) No.03; 05.
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“goodwill”215 in an institutional environment already littered with competing demands and
organisational objectives.216 The following interview transcripts outline this situation:
“The thing about PREVENT, PREVENT is about relationships and they take time to
build up. And for me, as much as you know, turnover of staff, you’ve got to be mindful
with this, especially in probably in our sort of area where we have no statutory
partners who are full-time on this because we’re not a funded area, so we’re relying
on partners’ goodwill as well to identify somebody or a number of people to engage
on this agenda. You’ve got to go in and really sort of ... softly softly approach, but
once you have those initial rapports ... those partnerships ... you do tend to keep
them on board ... But again ... it’s the effect of the relationships with individuals ...
but if you change those staff it’s very difficult to try and build that up over quick
period ... So it’s very much effective relationships (that) will maintain this agenda
within partners and communities”.217
“The initial approach is there but afterwards you keep a link because a lot of people,
whether it be an organisation with a high turnover of staff who are coming through,
or the recent ... sort of ... situation with a lot of cuts going through organisations,
they’re losing a lot of staff, so they’ve got to juggle their own resources. So, you have
to keep that engagement going. So it’s making sure people who are coming into new
roles are aware of the strategy”.218
There is one final dynamic to the research data regarding the notion of trust. PREVENT
officers tended to equate trust with openness, honesty and familiarity which then lead to
legitimacy and confidence in PREVENT as an agenda. However, when this provisional theme
was tested against participants in interrelated CT roles, some participants tended to equate trust
with being directly responsive to community concern in a disruptive fashion.219 ‘Disruption’
goes to the heart of the second formal aim of PREVENT to ‘disrupt and/or respond to the
ideological challenge of terrorism and the threat we face from those who promote it’ (HM
Government, 2011b: 7). Public acceptance of disruption as a legitimate outcome of PREVENT
activity was mentioned by various participants who occupied interrelated CT positions.
215 Interview with practitioner No.05. 216 Interview with practitioner No.05. 217 Interview with practitioner No.05. 218 Interview with practitioner No.03. 219 Interview with practitioner(s): No.07; 08; 09; 14.
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Accordingly, disrupting the risk of radicalisation through heightened levels of resilience220 was
seen as a central concern in order to build trust within local communities:221
“There’s incidences that have been targeted against particular communities, getting
the message out, there is a lot of that, in how serious it’s been taken and if we’ve
managed to get anyone to go to court, etc. It’s getting those messages back out that’s
a key element of our business”.222
“The ideology of these extremist groups saps away at your communities and at your
cohesion, so clearly there’s a community tension element to the work that we do.
And, we will try and quickly identify that where we can; tensions what are brewing
in the community. So that might be as simply as making sure racist graffiti is removed
very quickly and that it is not allowed to take hold. That might mean working with
colleges - the local college to make sure that they’re aware of the PREVENT agenda
- so if anyone comes into the college espousing extremist views, the staff they’re
aware and have the tools to challenge that or that they know who are the specialists
to speak to if it’s beyond their remit to be able to that”.223
For some participants from interrelated CT roles, there was an emphasis on the importance of
community cohesion building - that is, increasing the resilience of communities so that they
are less likely to be influenced by extremist views (Innes et al., 2011: 6) when conceptualised
against risk and trust. This adds a further layer of complexity to how practitioners within
PREVENT relate to and understand risk and trust within CT on the ground.
220 For analyses of ‘resilience’ within UK CT, see Hardy (2014); Mythen and Walklate (2014). 221 Interview with practitioner No.04. 222 Interview with practitioner No.07. 223 Interview with practitioner No.08.
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6.3 Key Theme 2: PREVENT as Safeguarding
The second key theme which was common to all participants’ accounts was an understanding
of the interconnectedness of two PREVENT objectives. Key to realising the second objective
of PREVENT, protecting (or supporting) vulnerable people (HM Government, 2011b: 55),
was the third objective of PREVENT, institutions. Participants shared the understanding that a
key requirement of PREVENT is to forge strategic relationships with those who have “quality
... inter-personal relationships” within communities of concern – teachers, health workers,
community groups, higher education staff and Neighbourhood Policing Teams, etc. Such
relationships were understood to be important since these bodies were considered to be on the
“frontline”.224 Various participants referred to this as utilising the “army of helpers” – without
which, preventing extremism would be increasingly difficult to achieve at local level. 225
Interestingly, the enlistment of expertise was being achieved through an invocation towards
“safeguarding” vulnerable individuals.226 This situation is reflected in the following interview
dialogues:
“You’d like to think you could sit here with the millions of people who live here and
we’re all going to be nice and friendly and that you would tell us if someone is going
off the rails, but life isn’t like that. You’ve just got to hope that the people you’re
engaging with to help sort of ... be part of the army out there ... and understand ...
not just about PREVENT, but also appreciate the wider concept of safeguarding and
making sure we are treating people and looking after those people who are most
vulnerable”.227
224 Interview with practitioner(s) No.02; 04. 225 Interview with practitioner(s) No.04; 02. 226 Understanding PREVENT through an invocation towards “safeguarding” was shared by all participants. 227 Interview with practitioner No.02.
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“For me, that’s about going to the key people, so we’ll pick on the safeguarding
teams, the youth offending teams within local authorities who are working with
vulnerable people. Do they understand some of the risks that are out there to young
people? And do they feel confident in order to report that in? You’ve got to use your
army of helpers, and that goes right up to the communities as well”.228
The enlistment of key institutional partners into the governance of PREVENT was
understood not so much a passing instrumentalisation, but more as a mode of activation and
authorisation that works through what is called “embedding expertise” (de Goede and Simon,
2013: 325-326). Research by de Goede and Simon (2013) suggests that embedding expertise
positions frontline professionals as the “eyes and ears” of society in order to “spot and disrupt”
radical and suspect behaviour – disruption being the second objective of PP (HM Government,
2011b; see also Innes et al., 2011). Moreover, de Goede and Simon’s (2013) analysis of the
Nuansa programme in the Netherlands reported an important transformation in the concept of
countering radicalisation: one from an “eyes and ears” ethos to one of “hand and heart”. Much
in the same way, participants were fervent that the process of embedding expertise should not
be read as an “eyes and ears” tactic. Although semi-professional workers were considered to
be on the “frontline”, the emphasis was firmly on a shift in both policy and practice from a
perceived focus on encouraging frontline staff to “spot radicals”, to one that promotes a
willingness to “signal or share concerns”. Furthermore, a willingness to share concerns around
risk was understood in the spirit of “protecting vulnerable people” being drawn into terrorist
activity through an invocation of caring for the most vulnerable individuals in the
community.229 Moreover, an ethics of care was said to provide partners with a heightened level
of understanding regarding radicalisation as a process and not an event. 230 Further, an
invocation of care was understood to help partners conspicuously reflect upon the fact that, in
contrast to PURSUE, PREVENT governs within a ‘pre-criminal’ space.231
6.3.1 Embedding Expertise through Safeguarding
The axis along which embedding expertise works - and in fact, the goal to which PREVENT
and internal/external alignments are primarily geared - was understood along a language of
228 Interview with practitioner No.04. 229 This understanding was shared by all participants. 230 Interview with practitioner No.03. 231 This point was supported by the dialogue of various semi-public professionals and local authority workers.
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“safeguarding”. This underscores the intimate and situated nature of the interventions it seeks
to achieve (de Goede and Simon, 2013: 328), in addition to deploying a calculus of risk.
Moreover, an invocation of safeguarding was understood to reorient rather than displace risk.
Whilst most participants acknowledged that the notion of risk has played a role in CT since the
morphogenesis of PREVENT, an invocation towards safeguarding was considered beneficial
in relation to mainstreaming PREVENT within other sectors. For example, PREVENT,
conceptualised as safeguarding, was considered to “soften” the PREVENT strategy and thus
partners were more likely to engage with and commit to the PREVENT agenda.232 This was
because terms such as “Special Branch”, “terrorism” and “PREVENT” were said to “turn
partners off” and/or muddy the link between PREVENT, risk and vulnerability:233
“One thing I’ve learned … I don’t usually talk about being from SB because people
have a preconception, and if you say to people, “Can we discuss this individual, or
can we share some intelligence regarding the police, we’re just watching this chap?”
... Both people are going to go ... “We’re not interested in that.” However, if I say
to the same person, “Hi, can I share some possible safeguarding issues because
we’ve got some real concerns about this guy?” ... they’ll go, “Yeah; what do you
want to know?” Exactly the same thing, different language. You get the vibe”.234
Thus, re-orientating language towards safeguarding was understood to help embed expertise in
order for PREVENT to operate through a multi-partnership approach at local-level:235
“I think we still absolutely use terms like radicalisation, grooming, brainwashing
and all the terms that have been used before, but safeguarding is the term that they
think best sums up what we do, but also its language that other partners know and
understand and we often start talks with ...“This is about extremism and terrorism”,
which ... ultimately it is, But to get the buy-in of all the range of frontline services
that we give talks to, the safeguarding is the bit that people instantly think, “Argh, I
get it”. PREVENT is such a meaningless word, in fact, most people think it’s about
crime prevention, sort of ... the people who fit alarms and stuff ... So we’ve moved
away from that because it’s not helpful, whereas safeguarding is a word that is used
daily by your absolute key partners and people get that. That certainly features more
232 Interview with practitioner(s) No.02; 05. 233 Interview with practitioner No.04. 234 Interview with practitioner No.04. 235 Interview with practitioner(s) No.02; 04.
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in our language. So whilst we still talk about the same issues and radicalisation, it’s
within the sphere of safeguarding”.236
Interestingly, an invocation towards safeguarding was also seen as somewhat necessary,
partly because of misconceptions with the word ‘PREVENT’.237 Participants acknowledged
that the scope of PREVENT had been interoperated too broadly in the past by key partners and
communities.238 It was suggested PREVENT had become understood by some (external)
partners as “crime prevention” more broadly rather than counter-radicalisation. Thus,
promoting and utilising language based around “safeguarding” was now common practice
since safeguarding was considered to best describe PREVENT(ion) work at local level.239
The
language of safeguarding was also seen to have an interrelated relationship with trust and risk
discussed in the previous section. Much like the blurring between type 1 and type 2 co-
production outlined in the previous section, participants suggested that changing terminology
and language associated with PREVENT objectives has allowed for “smarter ways of
working”.240 First, understanding PREVENT as an ethics of care was seen to help govern
externally through utilising key trusted individuals within the community:
“It’s not just about getting the trust and confidence of partners; it’s also about what
we’re doing with the communities. And when going out into the communities, some
communities might just put the brick wall up, “We’re not interested, we know what
you’re about” ... and then how do you get through? You’ve got to then use, not the
police, but use your partners in community cohesion, stuff like (name of local charity,
01), (name of local charity, 02), who really know the community and can help sell
the message on your behalf to say, “This is a safeguarding issue”...”241
Second, contextualising the aims of PREVENT within a safeguarding sphere was understood
to be more accepting and welcoming to key partners. 242 Third, an invocation towards
236 Interview with practitioner(s) No.02. 237 Interview with practitioner(s) No.02; 03. 238 Interview with practitioner(s) No.02; 03. 239 Interview with practitioner(s) No.02; 05. 240 Interview with practitioner No.05. 241 Interview with practitioner No.04. 242 Interview with practitioner No.05.
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safeguarding was understood to help partners conspicuously recognise and assess their own
role and responsibilities within the broader PREVENT strategy:243
“We link PREVENT to a safeguarding approach and using such language is a way
we’ve been really successful with partners because ... I remember speaking with
someone who is a lecturer at (name of college), we had a chat after a presentation I
did ... and he was really well informed on terrorist stuff and he said to me, “Look,
we’ve all got a duty of care around safeguarding; whatever our organisation is,
we’ve got a duty of care. But never before would I have put safeguarding and
counter-terrorism in the same sentence”. And that’s PREVENT!”244
The relationship between an invocation of care and engaging with institutional partners was
increasingly apparent in participants’ discussions around WRAP (Workshop to Raise
Awareness for PREVENT). In very brief terms, WRAP is an interactive and facilitated
workshop developed by OSCT (HM Government, 2011b: 57) which invites workers from the
education sector, health institutions, youth organisations, local authorities, community groups,
etc., to participate in one-day training sessions. In essence, it is a programme tailored towards
providing an understanding of how and why various partners might signal concerns around
polarisation and radicalisation. Not only does WRAP go to the heart of the third objective of
PREVENT, institutions, but as its name suggests, another of its aims is to bring awareness to
key partners regarding what PREVENT does and does not entail.245 Of note, PREVENT police
can lead WRAP training, however both internal and external partners can also deliver their own
WRAP training within identified spaces of risk.246 Due to the low number of staff within the
PREVENT team (compared to a priority-funded PREVENT area), local authorities had been
encouraged to deliver WRAP themselves.247 As one participant put it:
“It’s quite a good product, but it’s about three hours long and trying to get local
authority to sit down for three hours when they’ve got quite a lot of things to do is
hard. So, each authority has been given it here to try and train their own staff
themselves, and ... we’re all trainers in WRAP, but obviously, it takes up time. So if
we were to do every WRAP session you’d never see us again”.248
243 Interview with practitioner No.05. 244 Interview with practitioner No.04. 245 Interview with practitioner No.06. 246 Interview with practitioner No.07. 247 Interview with practitioner No.01. 248 Interview with practitioner No.01.
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It is perhaps unsurprising then that when the data sample was extended to document the
accounts of key individuals who occupied inter-connecting CT roles, the relevance of WRAP
was evident in their accounts of PREVENT at local-level. WRAP was understood as a
safeguarding tool249 with the following objectives: (1) bringing together organisations that are
regularly and routinely in contact with potentially vulnerable individuals; 250 (2) instilling
confidence in key partner institutions and making sure people are aware of the connections
between vulnerability and radicalisation;251 (3) allowing partners to understand where and how
to pass relevant information on;252 (4) allowing partners to more conspicuously reflect upon
their own organisational role within PREVENT;253 and (5) making sure that the concept of
PREVENT is correctly understood.254 The following interview dialogues reflect upon the
concept of WRAP at local level:
“WRAP training comes across as very much a safeguarding tool, and the ethos for
me when we’re delivering the WRAP is around ... “This is your normal day job;
you’re probably going to work with vulnerable people anyway but this is just another
thing to be aware of”. And it is very, very hard to spot, and you might not have any
concrete evidence that people are actively involved in extremism or terrorism but if
you’ve got people that are arising a suspicion, pass that on ‘cause that might be part
of the bigger jigsaw”.255
“There are quite a few good clips on the WRAP with actual individuals that have
recognised people who are potentially being radicalised and seeing what’s done
about it. So then people can look at that and think “...Well yeah, I can now see where
my role fits; I can see where my organisation’s role fits within PREVENT ...” And
it’s not just about the police, it’s about taking care of our community - and that’s
partner agencies, third sector partners/agencies and the community”.256
249 Interview with practitioner No.09. 250 Interview with practitioner No.09. 251 Interview with practitioner No.11. 252 Interview with practitioner No.07. 253 Interview with practitioner No.14. 254 Interview with practitioner No.08. 255 Interview with practitioner No.08. 256 Interview with practitioner No.14.
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6.3.2 “Radicalisation: Another Form of Abuse”
Common to all participants’ accounts was the fact that a language of safeguarding effaces
connotations of punitive intervention, evoking instead a questionably more palatable brand of
normalisation. Participants suggested that depoliticising the radicalisation process has helped
to embed the principles of PREVENT within existing processes for safeguarding vulnerable
individuals whilst also enabling workers from key institutions to understand the parallels
between PREVENT and existing support and intervention processes (see also HM
Government, 2011b: 84). Much like official CHANNEL documentation which states
‘radicalisation should be considered as another form of abuse in a similar way to exploitation,
intimidation and coercion’ (NHS England, 2014: 3), participants drew equivalences between
PREVENT(ion) and existent mechanisms in place to protect vulnerable people from alcohol or
substance abuse or engaging in crime.257 Key to PP was providing partners with a layer of
context as to why individuals may be drawn into terrorism through the notion of
“vulnerability”. Moreover, vulnerability to radicalisation was promoted in a similar manner to
other forms of abuse since partners could make sense of, and relate to, such terminology:258
“Everyone gets the safeguarding message. And again, the other phrase I use is
“radicalisation is another form of abuse”. So you look at the abuse that happens in
terms of vulnerable adults, vulnerable children - the process of PREVENT is exactly
the same. So within communities we’re asking our key partners to look out for those
vulnerable people who might be a subject of abuse – PREVENT’s just another film
to put into that process”.259
“What we’ve always said is that it is just about safeguarding people against abuse
in terms of childhood, things that would cause alarm bells in terms of protecting
children, protecting vulnerable adults, domestic abuse, and just trying to see
radicalisation through the same lens ... That it is a form of abuse, it is someone who
might be getting groomed, getting involved in something that they wouldn’t have
257 This understanding was shared not only by PREVENT officers but also participants who occupied interrelated
CT roles. 258 Interview with practitioner No.05. 259 Interview with practitioner No.04.
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dreamed of doing at the beginning of the process, some of those key points that may
have affected that change or how people might have acted to bring someone from
their initial viewpoint to a much more extreme one”.260
Furthermore, the concept of “vulnerability” through a language of risk was understood to
depoliticise and simplify radicalisation as a concept for PREVENT officers:
“When somebody’s referred in I will look at what the problem is. So, is it because
they’re just vulnerable, or is it because they’ve said something, or done something
overtly, or have they mentioned a group, or have they suddenly just changed
appearance or religion? You’ve got to look at it all when it comes in but generally
those are my questions that I go through. I have to simplify things because it can get
very, very complicated”.261
Participants also provided perspective on the most recent guidelines published by the
Home Office (2012d) which lists 22 vulnerability factors (referred to as Extreme Risk
Guidance 22 or ERG22), as linked to risk. Overall, participants recognised that understanding
the risk of radicalisation as linked to vulnerability has provided useful and practical operational
benefits, however some participants voiced certain concerns regarding the formal structure of
ERG22. Participants emphasised the importance of treating vulnerable people on an individual
basis rather than operationalising a blanket attribution of risk assessment.262 Moreover, since
participants emphasised the potential and partially unknowable futures of radicalisation,
concerns were voiced regarding the rigid, audit-like framework of ERG22:263
“There’s the formal risk guidance ... the ERG22 risk guidance which is a formal
thing ... but I guess ... I’ve never really got my head around it; a lot of is common
sense as to what ticks the box. I think the ERG thing is a bit like ... you know these
questionnaires you see, “Are you an alcoholic?” And then you look down this check
box and it gives you some crazy thing. Just ‘cause you put some ticks in some boxes,
to me, isn’t really ... it’s a bit artificial. But I think by chatting to people sitting round
a table, which is what we’re trying to do, get everyone’s heads together, you know
... see if anyone has any contact with that individual, or if we need to make contact,
260 Interview with practitioner No.07. 261 Interview with practitioner No.01. 262 Interview with practitioner No.05. 263 Interview with practitioner(s) No.01; 02; 05.
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if its deemed necessary to do that. That’s a far better way of assessing risk rather
than making these judgement calls by putting these ticks in boxes or putting a number
in which ... you know ... risk will be different for you as it is for me. But based on
somebody’s assessment or somebody’s number ... you know ... you can go in many
different ways ... somebody could be risk assessed as high when they’re actually low
or vice versa”.264
Lastly, whilst the terms “vulnerable”, “vulnerability” and “safeguarding” were
understood to simplify and depoliticise the concept of radicalisation to the point where key
partners could reflect upon their own role within PREVENT strategy,265 this morphogenesis in
PREVENT(ion) was not viewed as an entirely smooth one.266 Participants offered the view that
the implementation towards a multi-agency partnership approach has taken time to develop,267
particularly in relation to the NHS.268 Several respondents discussed having to change the
“mindset” of key organisational partners in terms of positioning PREVENT as interrelated with
their own organisational duties and institutional understandings of risk. This was not least
because of the various rigid definitions of “vulnerability” and the required traits an individual
must evidence in order to be considered “vulnerable”.269 For instance, participants offered the
view that a strict definition of vulnerability had been indoctrinated into the NHS. A specific
case that several participants reflected upon was Doctor Bill Abdullah - the man behind the
Glasgow Airport attack.270 It was suggested that Doctor Abdullah would not have coincided
with any of the safeguarding definitions adopted by the NHS when assessing his level of
“vulnerability”, and yet he was radicalised to the point of committing a domestic terrorist
attack.271 Whilst it was suggested that over time there had been an appreciation of the variations
of the term “vulnerability”272 thus allowing for a more harmonious multi-agency approach,
some participants voiced concerns regarding the pressure of institutions to work within their
own organisational silos because of conflicting interpretations of risk alongside inordinate
budget restraint:273
264 Interview with practitioner No.02. 265 Interview with practitioner(s) No.05; 14. 266 Interview with practitioner(s) No.02; 03; 04. 267 This view was shared by all PREVENT officers. 268 Interview with practitioner No.02. 269 Interview with practitioner No.02. 270 Interview with practitioner(s) No.02; 04. 271 Interview with practitioner(s) No.02; 04. 272 Interview with practitioner No.02. 273 Interview with practitioner No.04.
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“I made a note of something in a meeting and I just came across it yesterday;
whether we should use the word vulnerable or whether we should use the word
susceptible. The issue with vulnerability for me is ... the definition of vulnerability
varies. So, I’ll give you a practical example in terms of someone with mental health
issues – health will view that person in terms of is it physical or mental vulnerability?
My definition of vulnerability would probably not fit either of them. So, I’ll give you
my interpretation – it would be the Glasgow doctors because Doctor Abdullah who
was behind that one wouldn’t have fit into those two categories and yet he was
vulnerable because he was radicalised. But he was a working class man, very
intelligent man - I mean, he was a doctor for goodness sake! And yet, he went down
the radicalisation process. So was he vulnerable? Answer, yes. But what do we do
in terms of that multi-agency partnership around CHANNEL, to make sure that
partners appreciate that? ... And that’s where I think the word susceptible is more
appropriate. Without trying to confuse the issue, does that open things up and make
it a bit of a more broad description? I don’t know what the answer to that is. I don’t
know what you might do from a practical PREVENT perspective. If we were to have
the likes of Doctor Abdullah who wouldn’t fit into the criteria in terms of
vulnerability with health or in terms of the No Secrets document - which is what
health work on and their own definition. What we would do with PREVENT; we
would take ownership of that individual ... So we have an individual, we know he’s
vulnerable, he gets referred in through the CHANNEL process, the partners go,
“Nah, sorry, it’s mental health, that’s got nothing to do with us”. So then it’s a case
of - what do we do with that individual?” 274
274 Interview with practitioner No.04.
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6.4 Key Theme 3: Risk as Gut Feeling
The final key theme distilled from the interview sessions was an emphasis upon the notion of
acting upon individualised instinctive feelings of risk.275 However, it is important to be clear
on what the research data does and does not indicate on this matter. The research data does not
suggest that the relationship between preventing radicalisation and risk should be understood
exclusively through the notion of gut feeling. Nor does the research data indicate that referrals,
made by a referral partner, are operationalised exclusively through social actors (be that
internally or externally) acting upon risk as instinctive “feeling”. What the research does
indicate is that key partners (e.g. the internal police family, teachers, social and youth workers,
civil society, etc.,) are encouraged to act on “gut feeling” as linked to individualised risk
“feelings” in the absence of radicalisation knowledges(s). 276 As the following dialogue
outlines:
“I think a gut feeling is something ... probably because it is so broad and everybody
knows what you mean, because we do talk about theories of radicalisation, some of
the concepts are difficult, you know? Getting your head around some of the concepts,
being social isolated and all the other things ... that may be talked about but gut
feeling is something that everybody understands instantly and it is that catch-all, you
know ... “I’ve just got a feeling that something’s wrong” ... and it could be as simple
as that. People feel relieved that it is a term that they can completely understand and
I don’t have to know what Terrorism Act. S.1 Part 1 is; you know? Stuff like that.
The gut feeling is simple language that people know ... “I’ve got a gut feeling that
something’s not right”...”277
Of note, acting upon instinct in order to reduce risk was understood to be interrelated with the
previous two key themes. First, common to all participants’ accounts was that acting on “gut
feeling” should be read in correlation with the trust and confidence of partners to “share
concerns” about a “vulnerable individual”.278 As one participant put it:
275 Interview with practitioner(s) No.02; 03; 04; 14. 276 Acting on gut feeling was encouraged when engaging with partners face-to-face and through PREVENT
“products” such as a “Trust Your Instincts” DVD (interview with practitioner No.05). 277 Interview with practitioner No.02. 278 Interview with practitioner No.03.
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“We want them to just share that concern that they have at a very early stage if
necessary, if they have the confidence to, not necessarily come to us, but to go to a
colleague and share that concern. That uneasiness they feel about a subject”.279
Second, in a similar way to how PREVENT, understood as safeguarding, has re-oriented risk,
acting upon instinct was understood to help simplify understandings of radicalisation by acting
upon innate and existential feelings of risk.280 For instance, gut feeling was understood to be
something everyone could relate to since, we all, in some way, navigate the vicissitudes of life
through individualised existential feeling(s):281
“The last person I referred in was a member of a right-wing group, who was very
young and the information given to me was that they weren’t quite happy with the
people they were associating with and it was just a gut feeling. They didn’t know
anything about this right-wing organisation; it was just a gut feeling that they had
that it was just not right. So a little bit of research from us and we thought, “Yeah,
your gut feeling is probably right, they shouldn’t be associating with those people”.
So that was referred into CHANNEL”.282
“That’s one thing that we particularly say to people. You might see something and
don’t understand why you’re unhappy with it, and again, it’s about that trust and
confidence of telling the police and letting them decide whether or not it’s worthy of
investigation. I know after the 7/7 bombings they were interviewing some of the
people around some of the houses where the bomb factory was, or the house where
they were making the bombs, and there was one or two people said, “I noticed the
tree in the garden started to turn white, and I thought it was a bit strange but I didn’t
know why”. So, to them they just had a gut feeling of, “It’s a bit weird, I don’t know
why, but it doesn’t seem right”. For them there’s no reason to think that there’s a
terrorist bomb factory going on and the tree’s been bleached, but they knew
something wasn’t quite right”.283
Furthermore, in a similar way to the depoliticising effect of the notion of vulnerability towards
radicalisation knowledge(s), acting on instinct was seen to depoliticise and simplify the concept
279 Interview with practitioner No.03. 280 Interview with practitioner No.02. 281 Interview with practitioner No.02. 282 Interview with practitioner No.14. 283 Interview with practitioner No.14.
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of radicalisation for partners when considering a PREVENT referral in an environment shaped
by juxtaposed understandings of risk:
“I think people have begun to accept and agree that there is slight variations
regarding what is a vulnerable individual ... or vulnerability is inevitably going to
be different to each individual ... the threshold at which somebody crosses that point
of vulnerability into doing something more dangerous and potentially where they
pick up the phone and speak to somebody it is going to be different for every
individual. I think again, it’s a relatively new thing PREVENT and definitions evolve
over time. And I think there might become a meeting of minds but gut feeling ... that
is always going to be there and that covers a huge spectrum. And that gut feeling is
used in Home Office terminology because that’s the catch-all, the levels of
vulnerability, the levels of threat that people perceive may have different thresholds
at which concern them, but it still has to be that gut feeling, whether it be the level
is 9 out of 10 or 1 out of 10, it still is a gut feeling that something is not quite right”.284
It was suggested that gut feeling was to be encouraged as an individual risk ‘litmus
test’285 or “threshold”286 in the absence of radicalisation knowledge(s). Whether this was with
reference to external partners or internal partners, the principle was understood to be the same.
As one participant put it, “What we want them to think about is not only their experience in
their role but also life in general, to use that as their risk test, you know? Their risk threshold
that they feel”. 287 Whilst this may seem indicative of an “eyes and ears” approach i.e.
community intelligence generation as linked to the disruption of radicalisation (the first
PREVENT objective), rather, acting upon gut feeling was embedded in participants’ accounts
of the second PREVENT objective: supporting vulnerable individuals.288
6.4.1 “It might be nothing, but ...”
When discussing the notion of risk as linked to gut feeling, participants regularly alluded to the
strap-line “it might nothing, but ...”289 The phrase “it might be nothing, but ...” very much
embodied the understandings of counter-radicalisation work much in the same way as the
284 Interview with practitioner No.05. 285 Interview with practitioner No.03. 286 Interview with practitioner(s) No.03; 05. 287 Interview with practitioner No.03. 288 Interview with practitioner(s) No.02; 03; 04; 05. 289 Interview with practitioner(s) No.04; 01; 02; 03; 05.
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phrase “radicalisation is another form of abuse”.290 When discussing engagement with both
internal and external partners, participants reiterated the importance of implanting the phrase
“it might be nothing, but ...” into the mindset of key institutional partners. Contextualising to
key partners what is meant by the term “it might be nothing, but ...” whilst simultaneously
building the trust and confidence of partners to act upon a feeling of uneasiness was seen to be
a key undertaking for PP:291
“So it’s very useful both for us, but especially for reporting agencies and we often
end our talks with “it may be noting, but ...” which you have seen on some of the
talks we do. And there’s still a huge number of calls that come in ... sort of almost
apologetically ... “I don’t want to trouble you, but ...” But it is that gut feeling, you
know ... something isn’t quite right ... so it is very useful”.292
“It’s not a motto for PREVENT, it’s something I’ve come up with, OK? I pinched it
from the MET because that was part of an advertising campaign they used before
the Olympics with regard to getting people to be eyes and ears basically, and that’s
not really the PREVENT agenda but, you know ... suspicious packages, people acting
strange, all this stuff, you know ... don’t be afraid to report it to the conventional
hotline etc., etc. But for me, and everything you do has to be focused around trust
and confidence, so we go back to the doctors and we’ve given them the phrase. If
they can leave the presentation with “I’m sure it’s nothing, but ...” in the back of
their mind, that hopefully gives them the trust and confidence in terms of what we’re
trying to do with PREVENT. And no matter how little, no information is insignificant
because we say a lot of the time, it’s the smallest bit which can complete the picture,
and you think, “Actually, that makes sense - now we can go to the where we need to
with this information regarding this person”. So ... it’s pretty much a local thing,
there’s nothing like it nationally. I think it would be great if it was adopted
nationally”.293
Moreover, it was suggested the phrase allowed partners to more contextualise PREVENT
within a ‘pre-criminal’ space thus separating the operations of PREVENT from PURSUE.294
It was suggested that “it might be nothing, but ...” as linked to “gut feeling” allowed partners
290 Interview with practitioner No.04. 291 Interview with practitioner No.02. 292 Interview with practitioner No.02. 293 Interview with practitioner No.04. 294 Interview with practitioner No.04.
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to situate PREVENT at the “bottom-end” of a security sphere rather than conceptualising the
objectives of PREVENT against high-level security threats:295
“Key is getting that report in and a much lower level, the bottom stage, the what ifs,
the gut feeling, that if someone is fairly far on we would have already had that report,
and then it wouldn’t necessarily be PREVENT because they might be well into the
criminal sphere. But it’s just giving people the trust and confidence at the bottom
end to report it in”.296
“Partners phone in and we have a catchphrase that we’ve got “I’m sure it’s nothing,
but...” And they’re phoning up using that phrase because they understand the
concept of PREVENT - they have a concern about a vulnerable individual and
they’re not quite sure what to do with it”.297
However, as can be seen in the above dialogue acting on gut feeling through the motto, “it
might be nothing, but ...” should not be read in isolation from trust but is increasingly dependent
on trust in order for the referral process to commence through a willingness of partners and
communities to simply share concerns. 298 The emphasis was on sharing “a feeling of
uneasiness” at an early stage - be that with the police or a work colleague299 - if institutional
partners (and individuals with the local community) had the trust and confidence to do so. The
following interview except outlines the interrelatedness of trust and instinctive feelings of risk:
“We’re not saying it is definitely going to be terrorism or extremism, it might be
drugs for instance, but if you have, for whatever reason, that feeling inside that
suggests “I don’t know what it is but there’s just something not quite right with this
person” ... that you have the confidence to contact your local police, somebody at
work through your local partners or the PREVENT team”.300
It was also suggested “it might be nothing, but ...” was helping to unite Neighbourhood
Policing Teams and Special Branch in a more harmonious and co-productive relationship301 -
295 Interview with practitioner No.05. 296 Interview with practitioner No.02. 297 Interview with practitioner No.04. 298 An emphasis on gut feeling as linked to both trust and risk was common to all PREVENT police officers and
most of the participants from interrelated CT roles. 299 Interview with practitioner No.03. 300 Interview with practitioner No.05. 301 Interview with practitioner No.4.
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a CT methodology largely unheard of in the not so distant past. Several participants suggested
the phrase, “it might be nothing, but ...” was, in a metaphorical sense, “opening doors”, with
Neighbourhood Policing Teams more likely to engage with the PREVENT team through an
appreciation and understanding of the phrase “it might be nothing, but ...”302 Moreover, the
internal policing family were actively encouraged to act around the notion of gut feeling in the
absence of radicalisation knowledge(s):
“Police officers act an awful lot on instinct, hunches, experience, and you know, we
actively encourage them to act as such around PREVENT. Because there is no
definitive rule book that says ... when you become radicalised this is what you’re
going to do, this is how you’re going to behave, this is what you’re going to say, this
is the sort of materials you’re going to have in your house. That isn’t there - it could
literally be anything. So yeah, it’s a massive thing - hunches, instinct, experience”.303
Furthermore, acting on gut feeling was understood to be helping Special Branch policing shake
its reputation as a “secret squirrel”304 and operate in a much more overt fashion. As one
participant put it:
“The world of PREVENT is very much the overt face of Special Branch. Special
Branch has always been associated with the secret service, a secret squirrel. What
we’ve done with PREVENT is open up doors, so in the office you now get cops
phoning up saying, “Can I run this past you?” When I joined you wouldn’t have
looked at someone in Special Branch never mind picked up the phone to ask them a
question”.305
Acting upon instinct was also entwined with the operations of PREVENT in various other
ways. First, acting on instinct was accorded importance within risk management protocols post-
referral. Various participants suggested that instinctive feeling should work alongside
standardised risk assessment models, for example ERG22, in a complementary fashion.306 One
participant summed up this situation thus:
302 Interview with practitioner No.04. 303 Interview with practitioner No.14. 304 Interview with practitioner(s) No.04; 05. 305 Interview with practitioner No.04. 306 Interview with practitioner(s) No.02; 05.
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“I think you’ve got to have something that’s standardised, so we all stick to sort of
... the same guidance ... but for me the ERG22 is useful if you do have someone within
CHANNEL, that you can continually monitor them against it, and whether they are
increasing in threat or whether it is lowering. So again, its national, I think you’ve
still got to go with your gut instinct and your personal engagement with an
individual”.307
Second, acting upon instinct was deemed important because of time itself.308 Since deliberation
takes time, the quicker the decision the lesser the risk and vice versa. Communities and partners
were encouraged to “share a concern” at an early stage if they had a gut feeling in the absence
of radicalisation knowledge(s). The emphasis was on promoting a willingness to share
concern(s), thus allowing the police to “make the call”309 through risk management post-
referral; this as opposed to individuals trying to assess the situation and/or work their way
through it conspicuously,310 since by that time the progression towards radicalisation and/or
extremism might have gone “too far down the road”.311 As one participant put it:
“Don’t try and work out whether that individual is going to go on to become a
terrorist because there’s so much else before that. We’re hoping that we’ve caught
it at an early stage, if it is, but don’t try and come up with the solution or the answer
- let other people consider it”.312
Lastly, a willingness to share concern was also being encouraged at the earliest stage possible313
since participants equated deliberation with the breakdown of previous missed opportunities.314
By promoting the phrase “it might be nothing, but ...” the preference was firmly on dealing
with an abundance of referrals rather than missing a potentially crucial opportunity to intervene
and offer support to a radicalised (or potentially radicalised) individual.315
6.5 Conclusion
307 Interview with practitioner No.14. 308 Interview with practitioner No.03. 309 Interview with practitioner No.05. 310 Interview with practitioner No.03. 311 Interview with practitioner No.14. 312 Interview with practitioner No.14. 313 Interview with practitioner No.03. 314 Interview with practitioner No.03. 315 Interview with practitioner(s) No.05; 02.
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This chapter has provided a conceptual analysis of three key themes that emerged from the
interview data: risk and trust; PREVENT as “safeguarding”; and risk as gut feeling.
Participants’ accounts of PREVENT demonstrate a significant change in CT methodology
from a threat-centric model to an ‘overt’ CT capacity. Importantly, participants offered the
view that new open ways of working cannot be divorced from the notion(s) of trust/confidence
if PREVENT is to be successful in gaining a ‘rich picture’ of radicalisation risk at local level.
Thus, this chapter has provided perspective on what was considered to be operationally
beneficial (and vice versa) with regard to inter-organisational partnerships, something the
PREVENT strategy gives surprisingly sparse attention to (see HM Government, 2011b).
Whilst local authorities
and semi-public professionals were considered a crucial component of counter-radicalisation
on the ground - as connoted by the phrase “utilising an army of helpers” - the findings highlight
certain ambiguities regarding the operationalisation of PREVENT as a smooth top-down
governance structure. Whilst a multi-partnership approach towards counter-radicalisation was
considered imperative, the findings indicate that in a geographical area with no direct funding
for statutory partners, multi-partnerships at local level should not be simply assumed. Hence,
how PREVENT was “sold” as a “product” to targeted key partners.
The chapter has also provided
perspective on the “communities defeat terrorism” rhetoric that has become ubiquitous in
government policy. Whilst direct engagement with communities was one method
operationalised at local level, practitioners accounts are indicative of engaging far more
prevalently with key trusted individuals in order to cascade awareness of PREVENT and/or
specific counter-radicalisation messages. This is because direct engagement was understood to
carry a degree of risk when conceptualised against fragile police/community relations.
The chapter has also highlighted
how PREVENT has become entirely re-conceptualised through changes in terminology and
language. In order to achieve the second and third objective of PREVENT, PP has been
reconfigured through an invocation towards “safeguarding” vulnerable individuals: hence, how
radicalisation was understood as “another form of abuse”. Ultimately, an ethos of safeguarding
was understood to have a profoundly depoliticising effect upon the operations of PREVENT
which offered significant advantages, particularly regarding how key partners conspicuously
assessed their own role within the PREVENT strategy.
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Finally, participants’ accounts highlight the importance of acting upon “gut feeling”
and “instinct” as linked to risk in the absence of radicalisation knowledges(s). The phrase “it
might be nothing, but ...” was understood to proffer practical advantages, specifically the
development of internal and external multi-partnerships. Moreover, acting on intuitive feeling
was interrelated with the concept of “trust”, “supporting vulnerable individuals” and a
“willingness to share concerns”. Lastly, the objective of promoting the strap-line “it may be
nothing, but ...” was to implant the phrase into the individual and organisational mindset of key
institutional partners in the hope of contextualising the PREVENT strategy as governing within
a ‘pre-criminal’ space.
Chapter 7
Comparatives between Research Findings and Literature
7.1 Introduction and Chapter Organisation
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The primary purpose of this chapter is to analyse the key findings of the research outlined in
the preceding chapter. Critically, the research findings are considered, measured and contrasted
against dispositif and reflexive risk, as explored in chapters 3 and 4. Comparatives between
research findings and current literature will then be drawn upon in order to crystallise
conclusions and thoughts for future research in the final chapter. As a caveat, there is no
conclusion provided within this chapter since the final chapter shapes the research findings into
a final thoughts paradigm. An outline for this chapter is produced below:
7.2 Key Theme 1: Risk and Trust
7.2.1 Reading overt PREVENT Policing through the Risk Society
The research findings make clear that the political power of PP is not immediately structured
in terms of the hegemonic role of the state. PP is dependent upon a complex set of relations
between state and non-state authorities, upon infrastructural powers, and upon the activities of
7.2 Key Theme 1: Risk and Trust;
7.2.1 Reading overt PREVENT Policing through the Risk Society
7.2.2 Trusting PREVENT
7.2.3 Troubling Giddens
7.3 Key Theme 2: PREVENT as Safeguarding;
7.3.1 Embedding Expertise: Assemblage over Network
7.3.2 PREVENT and the Petty Sovereign
7.3.3 PREVENT(ion) through Language
7.3.4 PREVENT(ion) through Safeguarding: Political Rationality
7.4 Key Theme 3: Risk as Gut Feeling;
7.4.1 PREVENT as Pre-emption and the Play of Affect
7.4.2 PREVENT: Risk as Politics
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authorities who do not form part of the formal or informal state apparatus (Rose, 1999: 15).
Such bodies and practices frequently reside outside, or parallel to, state institutions and thus
their sum total amounts to a ‘new regime of governing’, where ‘traditional’ government
structures have become sub-ordinate (Swyngedouw et al., 2002: 556). Thus, PREVENT tasked
as “joint responsibility” marks a departure from traditional forms of government. Government
is associated with notions of centralised, sovereign state authority, possessing constitutional
powers (those institutions and agents charged with governing); ‘governance’ tends to be
associated with more informal, decentralised and pluralistic decision-making structures (the
modes and manner of governing); and governing to the act of governing itself (Griffin, 2012:
210). Accordingly, multi-agency PREVENT(ion) can be understood through the ‘multi-
lateralisation’ of auspices and providers that constitute the modern security assemblage, thus
eschewing the traditional one-dimensional security dichotomy (Dupont, 2004).
In light of
the above observations, PP might be thought of as “a product” of the late modern condition
itself, in line with ‘reflexivity’ explored in chapter 4. There it was argued that the political
landscape of a reflexive modernity extends from, and disrupts, traditional political structures
(Borne, 2006). Importantly, an overt PP architecture might be seen as indicative of a general
shift towards system-induced reflexivity (Giddens) as well as individualised reflexivity (Beck).
Thus, the relationship between PP and reflexive modernity addresses two levels of sub-politics:
hence examining Beck and Giddens’ work synonymously in the following discussion. As
Borne (2010: 71-72) notes (on sub-politics), ‘within reflexive modernity the first is the level
which represents an opening up of governance processes through partnership working.316 The
second level of sub-politics operates at the individual level in the form of participants of the
scheme’. Although Beck constructs a developmental
model of modern societies in which tensions of classical modernity pave the way for reflexive
modernity, reflexivity is as much a part of reflexive social systems (or reflexive culture) as it is
of individual cognition (Webb, 2006: 35; see inter alia Giddens, 1991). As Giddens (1991: 20)
articulates, institutional reflexivity is ‘the regularised use of knowledge about circumstances of
social life as a constitutive element in its organisation of transformation’. In this regard,
institutional reflexivity is linked to re-evaluation: a social ‘activity’ is reconsidered and refined
in perpetuum via the use of information relating to that activity (Giddens, 1994b: 86). To put
it differently, reflexivity is ‘the circularity of social knowledge’, and within this paradigm exist
316 The third objective of PREVENT is indicative in this respect.
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reflex(ive) responses by individuals and by institutions (Ferguson, 1997: 225). The re-
evaluative element of PP can be seen throughout the previous chapter, for instance, PREVENT
understood as “safeguarding”.
Second, a reflexive system (or institutional reflexivity), generates an output as a
function of an input. The establishment of reflexive systems in late modernity is best considered
as an acculturation process that requires a new discipline among the carrying subjects (Webb,
2006: 35). This critical perspective can be summarised in a twofold question: what is the impact
of a security device on the relationship between the users and their activity, and between the
users and the institution? (Lianos, 2003: 420). Much like Rasmussen’s (2001: 298)
observations on NATO, the research findings suggest PP defines itself by the constructive
character by which it has set a new security agenda through an overt multi-partnership (CT)
approach. For example, whilst it was recognised that means testing the success of PP is an
increasingly difficult task (largely as result of PREVENT governing within a ‘pre-criminal’
space), it was suggested the success of PP might be gauged by the amount and standard of
partner referrals:317
“Here we’ve doubled our referrals from 2012/2013. And success is a really hard
thing to measure, you know? I might sit here and think we’ve been really successful,
but what evidence have I got of that? It’s a hard one to measure what you’ve
prevented ... and one of the ways I think you can do that is by looking at the referrals
that are coming in from partners”. 318
Third, an important part of reflexivity is the self-awareness brought about by reflection
on one’s ability to construct one’s own terms of existence (Rasmussen, 2001), or as Beck puts
it, ‘the radicalisation of modernity leads to a self-confrontation, self-delegitimation and self-
transformation of instrumental rationality’ (Beck, 2009a, [2007]: 198-199). In this way,
reflexivity is not only relevant for a number of new security issues, reflexivity has the potential
to transform the security agenda (Rasmussen, 2004: 394) because of risk’s ‘origin in decision-
making’ (Beck, 1999c: 50) in the context of a certain political project.319 This redefinition is a
self-conscious break with the past and forms the basis for the construction of a new praxeology
of security. To put it differently, ‘methods’ of government transform with the times; what Beck
(1994b: 35) terms the ‘politics of politics’. Importantly, Beck (1994b: 34-36) distinguishes
317 Interview with practitioner No.04. 318 Interview with practitioner No.04. 319 This is what Beck (1992a: 46) terms ‘symbolic politics’.
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between ‘rule-directed politics’ and ‘rule-altering politics’, of which PP through a multi-agency
framework exemplifies the latter. This is a type of politics one might refer to as constructivist
as it seeks to redirect policy by changing the entire conception of the environment of action
(Rasmussen, 2001: 299). Indeed, one of Beck’s central ideas is that constructivism is not only
a philosophy of science but also a characteristic of our times. PP can be seen as being in a time
of re-construction since the organisation of PP is actively reconstructing the terms of its own
existence through overt CT engagement. A participant alluded to the (re)constructive character
of PP when discussing external CT engagement:
“So, the guy stood at the front said, “Right, this is your slot - what would you like to
say now?” And my opening gambit was, “I work in PREVENT - has anyone heard
of PREVENT?” At which point all heads nodded ... And I had a bit of a hallelujah
moment there because as a key partner, they had their training, they recognised,
remembered and understood and that was fantastic”.320
However, since multi-agency partnerships had to be “worked on” or “won” (in large part
dependent upon trust), the participants’ accounts suggest PP might be read as “under
construction” rather than construction as “complete”.321
Fourth, PP invites a discourse of reflexivity through individuals taking up certain
socially acceptable positions and behaviours and rejecting those categorised as dangerous or
deviant (Hacking, 1990). In this sense, reflexivity is developed into a communicative
competence through confronting risk as a matter of personal responsibility and institutional
responsibility (Webb, 2006: 35):
‘I think there was a lot of society that never recognised the fact that they had key
role to play in PREVENT and preventing radicalisation. A lot of people looked at
PREVENT and thought, “that’s the police, MI5, their job - what on earth do I have
to do with that?” After the training they can see what their role is; they can see why
they should become involved’.322
“We had a referral from a psychiatrist who was dealing with a patient, went to see
his line manager, his line manager had been on a WRAP course, understood it all,
got on the phone and said, “Can we have a discussion?” That for me was a major
320 Interview with practitioner No.04. 321 By Giddens’ own admission, he uses the term ‘structural reflexivity’ rather than ‘reflexive modernisation’
since, for him, the latter connotes completed structuration. 322 Interview with practitioner No.14.
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step forward with health because when you think of patient/doctor confidentiality ...
But that person was thinking outside the box ‘cause he immediately identified that
he potentially posed a real risk and needed help”.323
In this sense, PP is indicative of Beck’s cultural relativist approach. As Beck notes, risks ‘are
now no longer thought of as arbitrators but as protagonists in the confrontation, which is
enacted in terms of projections (Beck, 1995: 92, emphasis added). However, contextualising
partners’ roles within PREVENT, at both individual and institutional level (through WRAP for
instance), also coincides with a softening of Beck’s writings in which he seeks to integrate
cultural relativism and natural-scientific objectivism; what Beck calls ‘a sociological
perspective’ (Beck, 1995: 76). As Beck points out, certain risks come to the centre stage since
they are:
‘Symbolically mediated. Symbols that touch a cultural nerve and cause alarm, shattering and making
comprehensible the unreality and hyper-reality of hazards in everyday life, gain a key significance in
the abstractness, imperceptibility and impalpability of the process of devastation kept alive by the
advanced industrial hazards’ (Beck, 1995: 47).
Fifth, recall how overt CT engagement was accorded importance in order to “inform and
reassure communities about PREVENT activities”.324 One way of getting partners “on-board”
was through de-mystifying common (mis)conceptions about PREVENT via reassurance
policing.325 This is being achieved through open methods of working which informs both
internal and external partners what PREVENT is, and it importantly, what it is not:
“PREVENT really has two principle sides to its work - one is the frontline liaison
training workshops with frontline staff informing what PREVENT is and just as
importantly what it isn’t”.326
Moreover, the reassurance element of PP is embedded within the PREVENT strategy which
states, ‘PREVENT enables government to effectively communicate its policies in areas of
controversy’ (HM Government, 2011b: 47). The PREVENT strategy further adds, ‘in
addressing ideological issues, we also need to be very clear about our purpose and method’
323 Interview with practitioner No.04. 324 Interview with practitioner No.02. 325 Interview with practitioner(s) No.04; 06; 09. 326 Interview with practitioner No.02.
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(HM Government, 2011b: 51 [Figure 8.53]). Reassuring communities (more broadly) and
institutional partners through de-mystifying the objectives of PP was a key part of participants’
accounts:
“It’s about recognising with communities and bringing them together … trying to
de-mystify the PREVENT extremism agenda to them to make sure some of those
concerns that are put across nationally, such as PREVENT as a spying tool or
getting communities to inform on themselves ... Work was done in the borough to try
and assuage some of those fears”.327
Furthermore, participants’ accounts of ACT NOW also evidence the de-mystifying function of
PP. A participant reflected upon such: “[On ACT NOW] it starts a debate, and you’ll always
get different answers but it’s trying to explain why things have happened in the past and how
we’ve developed over time”.328 The de-mystifying qualities embedded within ACT NOW are
also outlined within official ACPO documents, which state: ‘by engaging local communities
in the debate about extremism, ACT NOW helps to dispel myths in a policing of extremism
context. It puts under the spotlight the procedures and thought processes that the police go
through to arrive at vital decisions’.329 Furthermore, participants suggested that certain myths
about PP operations have taken a significant amount of time to break down,330 partly as a result
of the toxic legacy left by the PREVENT agenda in its original form:
“It’s a question of education and explaining what PREVENT is; what we seek to
achieve by having PREVENT. It did get a bad press when it first launched because
it was seen, in fact, it was directed towards the Muslim community. And it’s taken
an awfully long time to try and break down some of those barriers and explain it’s
not about just radicalisation in those communities, it’s not about just terrorists
within those communities - it’s about radicalisation and terrorism across the
board”.331
In order to make sense of the reassuring and de-mystifying function(s) of PP through a
lens of reflexivity, it is necessary to move away from ‘natural-scientific objectivism’ about
327 Interview with practitioner No.09. 328 Interview with practitioner No.01. 329 ACPO (2013b). 330 Interview with practitioner(s) No.02; 04; 07; 14. 331 Interview with practitioner No.07.
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hazards (Beck’s term for the realist approach) and towards a Beckidian ‘weak’ version of social
constructivism. In ‘risk society’, Beck notes that there is a difference between ‘a risk itself’ and
‘public perception of it’, commenting further that, ‘it is not clear whether it is the risks that
have intensified, or our view of them’ (Beck, 1992a: 55, emphasis in original). Risks are ‘risks
in knowledge’ and therefore perceptions of risk and risks themselves ‘are not different things,
but one and the same’ (Beck, 1992a: 55). However, as Lupton (1999: 60) observes, in a later
article, Beck similarly argues that risks are ‘social constructs which are strategically defined,
covered up or dramatised in the public sphere with the help of scientific material supplied for
the purpose’ (see Beck, 1996a: 4). De-mystifying common frames of misconception about
PREVENT in the public sphere would adhere to Beck’s weak version of social constructivism
rather than his realist approach to risk in its primary form. PP is
indicative of the heuristic value of Beck’s concept of self-conscious constructivism in other
ways. On the one hand, attempts to increase the legitimacy of both PREVENT officers and the
PREVENT strategy through reassurance policing embodies the paradoxical effect of
modernisation which Beck alludes to. Paradoxically, attempts to monitor targeted behaviour(s)
so as to control future happenings (and increase security) subsequently expose new categories
of ‘risk’ because of political decisions. Beck (1992a: 80) terms this ‘the political side effects
of civilianisation’s side effects which threaten the continued existence of the democratic
political system’. In more simple terms, Beck (1999c: 141) refers to this as the ‘pre-emptive
risk trap’. According to Beck (1992a: 80), pre-empting risks paradoxically creates risks which
must then be assimilated and harmonised within institutional frameworks since the system is
caught in the unpleasant dilemma of either failing in the face of systematically produced
hazards or suspending fundamental democratic principles through repressive ‘buttresses’.
Institutional systems, Beck (1992b: 137) notes, ‘continually produce frictions, disharmonies
and contradictions within and among individual biographies’. Whilst Beck applies his
argument at the level of policy decision-making (rather than at individual level),332 it is possible
to apply his argument within other domains. It would seem utilising ‘connectors’ (Spalek,
2014) in order to promote awareness of PREVENT and/or suppress local level risk on the
police’s behalf can be read as PP finding itself in the ‘pre-emptive trap’ (Rasmussen, 2006) -
that is, managing future risks whilst navigating the many unintended consequences of that
action.333 Whilst the pragmatics of a key trusted
332 As Beck (1999c: 141) states, ‘policy-makers become paralysed because every action holds a new risk’. 333 This condition also has connotations of ‘being aboard a careering juggernaut’ (see Giddens, 1990).
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individual or a ‘connector’ can, to a degree, be plausibly explained though Beck’s notion of
the ‘pre-emptive risk trap’, Beckidian logic also has its limitations when measured against this
finding. Specifically, Beck’s affirmative inclination to attribute political reflexivity as rooted
in henneneutical voluntarism is problematic. As Mythen (2004) observes, Beck’s concept of
‘individualisation’ through cosmopolitan political realism homogenises both the public’s
abilities to negotiate risk information and subsequent environmental behaviour, thus reducing
all changes in lifestyle as evidencing reflexivity. However, PP delivered through key trusted
individuals should not be read as an inevitable inclination to engagement or a complete
transformation of socio-political structures. Rather, the role played by key trusted individuals
draws attention to how people respond variably to information received. Accordingly,
individualisation bleeds into multi-source biographies rather than positing overt engagement as
totalising human experience, which is blanketed by overarching ‘reflexivity’.
Recall from the previous chapter that the PREVENT
agenda is understood by practitioners as a “product”. What this suggests is that the PREVENT
strategy is understood as having an evaluative element to it. Importantly, as Webb (2006: 36)
observes, ‘whilst reflexivity conjures up an image of an incessant contest with self and others
in the risk society there is far more to the concept. The reflexive process is inter-subjectivity in
the sense that individuals monitor their own and others’ behaviour, not as isolated acts but as
instances of shared understanding of how to make sense of a complex life’. This evaluative
process, what Elliot (1996) terms ‘reflexive scanning’, can be seen in the participants’
discussions, for example, “bringing awareness around PREVENT”,334 and “trying to explain
how you see it fitting within their roles”335. At a phenomenological level, such consciousness
contributes to the emergence of a particular form of subjectivity - that is, a particular way of
thinking about, relating to and situating the self in terms of the broader social and political
context within which the self is embedded (Robertson, 2001: 230). As Webb (2006: 36,
emphasis added) notes, reflexivity is the ability of the individuals of a social system ‘to reflect
on and importantly, evaluate both their conception of the system and their role in it and to
choose activities according to their reflexive evaluation’. In this respect, individuals reflexively
make, or as the case might be, do not make themselves the subjects of social processes that are
regulating social control (Ferguson, 1997). This is because the ‘reflexive individual’ in late
modern society is interested in knowledge(s) and thus people always feel compelled to know,
334 Interview with practitioner No.03. 335 Interview with practitioner(s) No.03; 14.
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with reference to some description of risk, what they are doing and why they are doing it
(Ericson and Haggerty, 1997: 98). As Ferguson (1997: 229) puts it:
‘A by-product of pervasive and diffuse contemporary media discourses, the ‘reflexive individual’ is
interested in and simultaneously concerned about how they (as individuals) are governed, and the
structures that are in place to control them’.
Moreover, reflexivity suggests that their (social actors) monitoring is not just a passive check
but is strategic, allowing them to order the rules of interaction and challenge them in doing so
(Webb, 2006: 36). Since the “buy-in” of partners had to be “worked on” or “won”, challenge
was an accepted element of an overt (multi-partnership) PP approach:336
“There was a person in the audience who was a professional, (who) had a
professional background and had gone on to become a councillor, who was
challenging PREVENT. By the end of the session I was invited to lunch to discuss
PREVENT further with him and by the end of that he was on board ... He could see
where we are trying to go with it”.337
Hence, while it is the institutional processes themselves that are governing the management of
‘risk’, individuals as ‘service users’ are reflexively engaged in a proxy evaluation of those
services (see Lash and Urry, 1994: 4). That is, ‘in a socially reflexive era, expertise does not
remain the sole province of the expert’ (Ferguson, 1997: 229). This is because individuals are
(more) knowledgeable about social/policy processes and interventions and they have become
increasingly critical and reflexive with reference to them (Lash and Urry, 1994: 4). In this
context, the rules of social interaction are not fixed at all and social actors do not have to take
them for granted; the rules do not provide the conditions for interaction but are themselves
subject of debate (Hoogenboom and Ossewaarde, 2005: 614). That is to say, reflexive actors
do not have to take their condition for granted (as a fate), but seek to shape their own condition.
They actively engage with diverse sources of incoming information flows, which are an
inevitable part of survival in a social environment where no role, task or function – indeed no
identity (in a Giddeon sense), is fixed (Hoogenboom and Ossewaarde, 2005: 614, adapted by
the present author). As a participant noted:
336 Interview with practitioner No.03. 337 Interview with practitioner No.03.
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“I was asked to speak to 30 doctors a few weeks back in (name of location), and it
was at (name of location) and I should have thought, (name of location), 30 doctors,
that doesn’t sound quite right, because when I got there ... there was 290. It was
every GP in (name of location). So, I thought – “Fantastic! - Here’s an opportunity”.
So, I got asked a question from a doctor who said, “We have patients who don’t
necessarily want their information shared with the police - you’re saying around
PREVENT that we should trust you - with all due respect, why should I trust
you?”…”338
Having to secure the “buy-in” of partners fits with reflexivity as characterised by a loss
of control (Beck, 1999c: 139). Ends are no longer believed to be controlled by the means
allocated to achieve them. Moreover, because of this lack of control of outcomes, taking a
decision becomes a risk in itself. ‘Risks’ writes Beck (1997: 30), ‘always depend on decisions
– that is, they presuppose decisions.’339 In the risk society since nobody craves ownerships of
bads, the logic is no longer based on possession, but avoidance (Mythen and Walklate, 2005).
Moreover, it becomes a risk because it is based on a scenario for the future and it is risky
because any reflective decision is in fact a choice between risks rather than a choice between a
safe and unsafe policy (Rasmussen, 2001: 294). According to Beck, this in fact makes you
reflect on everything you are doing to others as if it was something you were doing to yourself.
As the interview excerpt outlined previously indicates, the individual was consciously
reflecting upon the decision to engage based on the aetiology of risk; this most likely influenced
by the No Secrets340 document which governs the NHS. Thus, it is possible to draw upon
Beck’s notion of ‘individualisation of risk’ where he states: ‘we are concerned with
individualised institutional situations, whose connections and fractures (neglected at the level
of system) continually produce frictions, disharmonies and contradictions within and among
individual biographies’ (Beck, 1992a: 137). Furthermore, from a Beckidian position, this
aetiology of risk is recognised at policy level. The PREVENT strategy states:
‘In common with other sectors, uptake of PREVENT in the health sector has not always been consistent. This has
been partly due to the unfamiliarity of the subject matter and partly because early training was not always
338 Interview with practitioner No.04. 339 Here, Giddeon logic is also instructive; as Giddens (1990: 90) observes many people ‘bargain with modernity
in terms of the trust they vest in symbolic tokens and expert systems. The nature of the bargain is governed by
specific admixtures of deference and scepticism, comfort and fear’. 340 See HM Government (2000).
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appropriate. ACPO’s internal 2010 review of PREVENT policing has also identified issues regarding information
sharing in the health sector’ (HM Government, 2011b: 85, [Figure 10. 144]).
The PREVENT strategy further comments, ‘the Department of Health will need to ensure that
the crucial relationship of trust and confidence between patient and clinician is balanced with
the clinician’s professional duty of care and their responsibility to protect wider public safety’
(HM Government, 2011b: 85, [Figure 10.145]). This goes to the heart of Adam Smith’s original
concept of reflexivity that ‘we must imagine ourselves not the actors but the spectators of our
own character and conduct and consider how these would affect us when viewed from this
station’ (Smith, 1974: 190, as cited in Webb, 2006: 35).
Fundamentally, in order to understand PP through overt methods of prevention,
reflexive monitoring of risk is intrinsic to both personal (Beck) and institutionalised (Giddens)
risk processes (Webb, 2006: 34). Moreover, it is also important take into account the
‘sociological perspective’ (Beck, 1995) developed in Beck’s later writings, as well as a natural-
scientific objectivist disposition and cultural relativist disposition, both of which are more
prominently (though not exclusively), associated with Beck than Giddens.
7.2.2 Trusting PREVENT
In chapter 4 it was outlined how, for Giddens, the concept of risk is inseparable from trust.
Thus, whilst the following discussion is centred on the notion of trust, this should not be read
as a departure from the overall theme of risk. Rather, participants’ accounts of trust coincide
with Giddens’ definition of reflexivity as ‘the constant appropriation of new knowledge as the
basis for social organisation and self-identity’ (Giddens, 1990). In short, reflexivity is described
as ‘a process of continuous monitoring and surveillance, and of making adjustments as new
information and revised knowledge become available’ (Ekberg, 2007: 354).
Drawing upon the
work of Giddens (1990), Ekberg (2007) maintains it is not the emergence of trust that
differentiates reflexive modernity from pre-modernity and primary modernity, but the
emergence of new definitions and expressions of trust. Moreover, recall that in chapter 4 it was
outlined how, for Giddens (1990), trust is operationalised at two levels: inter-personal trust and
system-based trust (Giddens also refers to this as trust in ‘abstract-systems’). The research
findings suggest that both internal and external partners are more likely to “buy-into” the
PREVENT strategy based on trust developed at interpersonal level rather than abstract-systems
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level (the PREVENT agenda). Thus, Giddens’ The Consequences of Modernity is particularly
apposite to the following discussion.341 Giddens (1990, 1991) is careful to
remind us that trust is also central to the radical transformation of intimate inter-personal and
intra-familial relations occurring within reflexive modernity. Liberated from the oppressive
bonds of patriarchal traditions, reflexive individuals form relationships based on mutual,
reciprocal and active trust (Ekberg, 2007: 257) and thus, according to Giddens (1990, 1991),
we still have bonds of intimacy that remain at the local level. In particular, friendships and
sexual partners remain physically proximate even in reflexive modernity characterised by dis-
embedding processes (Giddens, 1991). As Green (2009: 192) observes:
‘The basis of intimacy, or personal trust, in the modern world is mutual openness and self-disclosure.
Intimate relationships are therefore formed through a process of self-enquiry or self-reflection that is
then shared with another. This is part of the search for self-identity which is bound up with the process
of self-reflection in the late modern world. The character of intimacy is therefore transformed as a
consequence of a dis-embedded and increasingly global society that is nevertheless still routinely
traversed on a day-to-day basis in physical localities’.
In a Giddeon sense, the participants’ discussions around the concept of trust, as linked to a
multi-partnership (CT) approach through trusted key individuals, suggest that PP might be read
through the concept of “kinship connections” (Giddens, 1990). As Giddens (1990: 101) points
out, ‘kinship connections are very much the bonds which can be relied upon in the structuring
or actions in fields of time-space’. For Giddens (1990: 101), in pre-modernity kinship provides
a nexus of reliable social connections that in principle, and very commonly in practice, form
an organising medium of trust relations. This is true on the level of both fairly impersonal and
more personal connections (Giddens, 1990: 101). Troubling Giddens somewhat since he states
that kinship relations are no longer the carriers of intensively organised social ties across time-
space (Giddens, 1990: 108, emphasis added), utilising key trusted individuals or ‘connectors’
might be understood through the concept of kinship connections based on a “pure
relationship”.342 A pure relationship is a more equal, open and democratic relationship that is
341 The strength of Giddens conceptualisation of ‘trust’, as measured against the research findings, lies in the fact
that he rejects the Luhmanian view that trust must be seen as separate from confidence (see Giddens, 1990: 29-
33). In the same way that participants understood trust as synonymous with confidence, Giddens homogenises
both concepts by postulating that trust is the link between faith and confidence which distinguishes it from “weak
inductive knowledge” (Giddens, 1990: 33). 342 Utilising key trusted individuals in the fight against extremism and/or radicalisation coincides with two of
Giddens’ typologies of trust and personal relations: ‘kinship relations’, and ‘personal relations’, rather than
adhering to Giddens’ third typology: ‘sexual intimacy’, in conditions of modernity.
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actively sustained rather than passively accepted and a flexible relationship that retains a
permanent option of reversal (Ekberg, 2007: 357). In Giddens’ (1991: 6) words:
‘A pure relationship is one in which external criteria have become dissolved: the relationship exists
solely for whatever rewards that relationship as such can deliver. In the context of the pure relationship,
trust can be mobilised only be a process of mutual disclosure. Trust, in other words, can by definition
no longer be anchored in criteria outside of the relationship itself – such as criteria of kinship, social
duty or traditional obligation. Like self-identity, with which it is closely intertwined, the pure
relationship has to be reflexively controlled over the long term, against the backdrop of external
transitions and transformations’.
Importantly, Giddens stresses the part of ‘personal relations’ within pure-relationships.
Discussing the concept of “friend” as today’s substitute for “honourable companion”, Giddens
suggests that whilst social connections can involve emotional intimacy this is not a prerequisite
of maintaining personal trust in conditions of modernity (Giddens, 1990: 119, emphasis added).
For Giddens, it is institutionalised personal ties and informal or informalised codes of sincerity
and honour, which provide frameworks of trust (Giddens, 1990: 119, emphasis added). A
participant summed up the police/partner relationship thus: “You have to be seen as a friend ...
but a friend that you’re going to need almost never”.343 Moreover, recall that for the PREVENT
officers, a key component of PP was demonstrating to partners and communities that “you’re
as good as your word”344 by operating in an “open”, “honest” and egalitarian manner, thus
coinciding with a ‘soft’-policing approach:
“An awful lot of people who don’t trust PREVENT, who think the police spy on them,
who think as a soon as they give us information their name will be all over the
newspapers and then the person will be arrested. That’s not what PREVENT’s about
... It’s how you promote that”. 345
“Do we understand the concerns of things from their side, and not be dealing with
it in a completely police-y-type manner. I think it’s fair to say a lot of groups that
we’ve been to have been ... not shocked, but I’d like to think pleasantly surprised that
it’s not this over-bearing, you know ... people still hear Special Branch and go, “Oh,
343 Interview with practitioner No.02. 344 Interview with practitioner No.04. 345 Interview with practitioner No.04.
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I thought he’d be in uniform”. So you know ... even that is a bit of a shock for
them”.346
Furthermore, the importance accorded to ‘soft policing’ within PREVENT has connotations
with Giddens’ “focused interaction” (Giddens, 1990: 82). As Giddens (1990: 85) points out,
‘facework’ commitments tend to be heavily dependent upon what might be called the
demeanour of system representatives or operators. Accordingly, recall that participants
highlighted the importance of operating in an “open” and “honest” manner, particularly if the
issue became “too hot”.347 Such a situation is reflected in Goffman’s front and backstage
performances, of which Giddens’ work around trust is heavily influenced. As Giddens (1990:
86, emphasis in original) notes, ‘the clear distinction between front- and backstage reinforces
demeanour as a means of reducing the impact of imperfect skills and human fallibility’.
Adding support to the argument that PP operates through ‘kinship connections’
which are built on “pure-relationships”, the participants’ accounts of the fragility of
police/community relations based on trust are informative. Giddens (1990: 101) points out that
kinship connections ‘are often the site of conflict or tension’, whilst a pure relationship is
‘continued only in so far as it is thought by both parties to deliver enough satisfaction for each
individual to stay within it’ (Giddens, 1992: 58). This is because, according to Giddens, pure
relationships exemplify autonomy and flexibility yet at the same time exemplify a loss of
loyalty, stability, solidarity, security and commitment (Ekberg, 2007: 356-357). A participant
reflected upon the fragility of community trust when external engagement was used to push
relevant awareness of PREVENT out to a Kurdish community:
“So we did all this when I first started, the first time it came round, and (name of
location) came back to me and said, “We can’t really do that anymore because we’ve
got a lack of trust and confidence in that community now due to an incident in the
community prior to me getting here; somebody’s told them something in confidence
and it’s went through the wrong protocol and some people ended up getting arrested
basically, and that community won’t forget that incident unfortunately in (name of
location)”. Whereas in a different place ... in (name of location) they were, like ...
“Yeah. We’ll do it”. So we’ve had to ... over time ... try to do it differently in (name
of location), because people don’t tend to forget”.348
346 Interview with practitioner No.02. 347 Interview with practitioner No.02. 348 Interview with practitioner No.01.
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Moreover, recall that PP utilises key trusted individuals when protective intervention (police
defined) is considered too risky. As one participant noted: “You can go the direct route, but it
can also be a risky one because you can equally do something in a Mosque and people might
go “we’re not happy with that”, and that can backfire and further alienate people”.349 Thus,
the research findings neatly fit with the different attitudes towards risk in a reflexive modernity
- a different ontology and aetiology of risk and a heightened sensitivity to the social and
political consequences of a risk event (Ekberg, 2007: 347). Further, the fragility of
police/community relations suggests that trust in people or abstract systems can never be
absolute or constant over time, but must be reconfirmed periodically (see inter alia Schlichter,
2010). Losing the trust of the Kurdish community (as just one example) embodies reflexivity
in so far as reflexivity can be seen as the conscious self-consideration of one’s contemporary
life in terms of a tension between other-informed and self-informed sources of determination
(Heelas, 1996: 4); what Giddens terms ‘dilemmas of the self’ (see Giddens, 1990, 1991). The
concept of ‘dilemmas of the self’ is also wrapped up in Giddens’ notion of ‘chronic reflection’
- that is, constant reflective evaluation of the situation as a result of anxiety, trust and doubt
(Giddens, 1990; see Figure 7.2). For Giddens (1990), commitments to practices are constantly
adjusted based on knowledge rather than tradition. Moreover, according to Giddens (1990),
modern human beings are affected heavily by chronic reflection and this has consequences for
their identity.
Figure 7.2: ‘Chronic Reflection’ (as cited in Schlichter, 2010: 12).
349 Interview with practitioner No.04.
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To support the argument that multi-agency partnerships within PP are (to a degree)
formed and maintained as ‘pure relationships’, various participants suggested that key to
engagement is “time” itself. Participants voiced concerns regarding the potential of high staff
turnover to detrimentally affect multi-agency partnerships since trust takes time to cement.
Hence, how participants suggested that trust had to be continually sustained or “won” through
“openness” and “honesty” rather than being passively accepted. Moreover, recall that for
Giddens (1994a), in the modern-world, networks must be worked at, earned, or ‘have to be
continually to be won’. This is because integrity cannot be taken for granted on the basis of a
person’s incumbency of a particular social position (Giddens, 1994a: 197). Giddens sums the
concept of ‘active trust’ thus:
‘Trust on a personal level becomes a project to be “worked at” by the parties involved, and demands
the opening out of the individual to the other. Where it cannot be controlled by fixed normative codes,
trust has to be won, and the means of doing this is demonstrable warmth and openness’ (Giddens, 1990:
121, italics in original).
In this sense, trust is based on a highly reflexive relationship since it presupposes ‘facework
commitment’ that has to be ‘actively negotiated’ (Giddens, 1991) and ‘renegotiated with lay
audiences’ (Giddens, 1990). Giddens (1990) terms this ‘voluntary commitment’. In a similar
way, the participants suggested that developing and then maintaining the trust of partners was
crucial if PP was to be successful and durable in an institutional environment shaped by
competing priorities and organisational objectives.350 Again, Giddens’ work is informative
where he states: ‘even in the domains of expert systems active trust becomes more dominant
partly because of the divisions within, and contestations of, expertise’; what Giddens terms
‘institutional opening out’ (Giddens, 1994a: 187). However, Giddens goes further and suggests
risk is contained within a relationship of deep trust between individuals and collective
institutions (Giddens, 1990). This is because, as Giddens observes, the issue of trust/mistrust
is not so much about the proliferation of risks, but that individuals and groups have developed
heightened levels of reflexivity on which they can act i.e. decide whether or not to trust a person
or institution (Ward, 2007: 122). High employee turnover within partner institutions was seen
as a potential barrier to achieving what Giddens (1991; see also Green, 2009) terms ‘emotional
350 This finding has parallels with the social contract theory of John Locke. Locke argues that the need and desire
for political institutions arises because socially connected persons with multiple and sometimes conflicting
institutional commitments recognise that their relationships are liable to conflict and inequalities of power that
can lead to mistrust, violence, exploitation, and domination (Young, 2006: 105).
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intimacy, openness and sincerity’ which provides both internal and external forms of
‘authenticity’. Importantly, for Giddens (1991: 197), ‘the authentic person is one who knows
himself/herself and is able to reveal that knowledge to the other’. Thus, interpersonal trust plays
a particularly important role within PP since ‘revealing that knowledge to the other’ might be
read in a similar way to “a willingness to share concerns”. The notion of trust also has
significant implications for governing at a distance. Whilst participants suggested PP largely
relies on key trusted individuals, the research findings also indicate that various other partners
and individuals are involved in PREVENT, even if, in a Giddeon sense, the relationship is less
intimate. Importantly, when discussing trustworthiness in postmodernity, Giddens (1990: 85)
suggests ‘many encounters with representatives of abstract systems are periodic and transitory’.
Such situations were reflected on numerous occasions in participants’ accounts. As one
participated noted, “we also engage through the IAG’s – Independent Advisory Groups to get
key community members involved in it, as much as we might not necessarily be there day-to-
day”.351 Thus, PP also has connotations with Giddens’ notion of ‘time-space distanciation’ (see
Figure 7.3). The research findings suggest that through the concept of trust, PP
attempts to dis-embed the PREVENT strategy352 within key institutions both internally and
externally in order to govern at a distance (Rose, 1999). The following interview dialogue
instructively describes the dis-embedding and re-embedding nature of PP:
“We do a lot of stuff internally with police, principally Neighbourhood Teams
because you assume that they have the neighbourhood contacts ... they have ... they
are likely to know the communities. We do a little bit of stuff with 24/7 police officers
but they tend to deal with the job in and out, but less likely, certainly not impossible,
that they’ll see and assess something on a one-off. So, we do a lot of training with
them. We try and do it at least once a year ... We’ll do stuff specifically with the PVP
Unit - Protecting Vulnerable People Unit - which is a form of MAPPA. Quite clearly,
there is a huge crossover there, you know? PREVENT will form a very small part of
that, which is far more domestic abuse, child abuse, but nevertheless there is a
crossover”.353
351 Interview with practitioner No.06. 352 See Figure 7.3. 353 Interview with practitioner No.02.
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Figure 7.3: ‘Dis- and Re-embedding’ (as cited in Schlichter, 2010: 10).
In Giddens’ terms, dis-embedding supports the establishment of procedures with less personal
contact. However, for Giddens (1990; see inter alia Schlichter, 2010), dis-embedding is
dependent upon trust - those involved must believe that the social relationship will endure at a
later time. Maintaining the trust of partners through ‘re-embedding’ trust was reflected in
numerous participants’ accounts:
“We make it clear that if we go down to a school, we’re not going to go, “Right,
thanks for the information, see you later”. The school, the hospital, whatever it is
will be a key part of that programme. We tell people quite openly that we’re not
going to go in and then go behind the school’s back saying, “Guess what?” They
aren’t going to be side-lined and the police then scurry off to dark places with that
information never to be seen again. We never do that”.354
To understand PP as an upholding of social relations over time and space constraints,
Giddens’ caretaker/infant couplet based on D. W. Winnicott’s ‘potential space’ is
informative.355 For Giddens (1991: 38), an awareness of the separate identity of the parenting
figure originates in the emotional acceptance of absence: the ‘faith’ that the caretaker will
return, even though he or she is no longer in the presence of the infant. This creates ‘potential
space’ that can lead to ‘ontological anxiety’. However, such ontological anxiety can be
354 Interview with practitioner No.02. 355 Demonstration of this continual renewal of the “contract” which individuals undertake with one another is also
the exact point of Harold Garfinkel’s “experiments with trust” (see Giddens, 1990: 98).
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overcome by the discipline of routine which helps to constitute a ‘formed framework’ for
existence by cultivating a sense of ‘being’, and its separation from ‘non-being’, which is
elemental to ontological security (Giddens, 1991: 39). However, as the participants suggested,
high employee turnover potentially made governing at a distance (through Giddens’ concept
of ‘dis-embedding’) challenging since the introduction of new staff within partner institutions
required PREVENT to be ‘re-embedded’, usually through ensuring that new recruits were
aware of the PREVENT strategy. Subsequently, it was suggested that trust (at times) had to be
“won” all over again.356 Thus, it would seem high employee turnover is opposed to emotional
inoculation against existential anxieties since trust, by its very nature, entails a commitment to
‘leap into the unknown’, a hostage of fortune which implies a preparedness to embrace novel
experiences (Giddens, 1991: 41). Nevertheless, the data suggests that the axial position
occupied by ‘expert’ systems in a reflexive sense is supplanted allowing PP to re-contextualise
the experiences of individuals, groups and institutions – in that ‘the everyday experience of
citizens is dis-embedded ... before being re-embedded within the lived relations that re-
introduce a degree of local definition’ (Scourfield and Welsh, 2003: 404). Subsequently, overt
CT engagement is developed and evolved through de facto categories of ‘risk’ created by
‘expert’ systems i.e. PREVENT, and correspondingly, PP operationalised through a multi-
agency framework might be thought of as advanced via reflexivity.
7.2.3 Troubling Giddens
Giddens (1990) highlights that inter-personal trust and systems-based trust is interrelated.
Giddens calls the meeting points of the two levels of trust ‘access points’, of which trust in
abstract systems is highly dependent on the individual’s experience(s) at access points
(Schlichter, 2010). By means of access points, a person can meet the system in two ways (thus
distinguishing between two forms of trust): trust in persons or facework commitment (inter-
personal trust, ‘front-stage’) and trust in systems or faceless commitment (systems-based trust,
‘back stage’) (Giddens, 1990: 88). WRAP is an indicative example of Giddens’ access point(s)
since it provides the link between ‘personal’ and ‘systems’ trust (Giddens, 1990). However, for
Giddens, when reflexive individuals invest their trust in abstract systems, they trust the
356 Interview with practitioner No.03.
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credentials and legitimacy conferred through professional codes of practice, qualifications,
accreditation, licensing, performance and reputation (Giddens, 1990: 87). In Giddens’ words,
‘the real repository of trust is in the abstract system, rather than the individuals who in specific
contexts “represent” it’ (Giddens, 1990: 85). Thus, for Giddens (1990: 85), access points
merely carry a reminder that ‘it is flesh-and-blood people (who are potentially fallible) who are
its operators’. Giddens is essentially exposing a difference between ‘expertise’ (the system of
knowledge) and the ‘expert’ (representative), and locating trust as being a factor between the
two (Ward, 2007: 125). To a degree, the
research findings support Giddens’ assertions on trust within postmodernity. Several
participants talked openly about the myth-busting aspect of PP, as linked to the past
mismanagement of PREVENT, which had resulted in a degree of mistrust towards the
PREVENT agenda. However, the research findings also trouble Giddeon logic, particularly
trust conceptualised in a one-dimensional manner as Giddens suggests. Although not using
such terminology, participants made clear the interrelated nature of inter-personal trust and
trust at ‘abstract’-system level:357
“I remember we had a case in (name of university), where the response from the
Dean of the School was, to quote him, “Yeah, the PREVENT team did exactly what
they said they would do”. That then promotes a whole host of trust and confidence,
you know? We’re not bullshitting you here. We are here for all the right reasons. We
want to work with you and you need to trust us - this is how we do our business. But
that takes time to get that trust and confidence. And again, going back to the other
communities - how the hell do we try and spread that message? Because all it takes
is one bad example of the police in the media and all of a sudden it’s, “Yeah, the
police, you can’t trust them” ... you know Plebgate and all that stuff. That does so
much damage to the overall trust and confidence in the police. It happened in
London, it had nothing to do with me but we all get labelled with that, “It’s all the
police, they’re all the same”. So one instance like that can do an awful lot of harm
when trying to build trust and confidence in a very specific area of work like what
we cover”.358
Thus, when making sense of CT engagement through a lens of reflexivity, local level trust
cannot be conceptualised in a one-dimensional manner. PP is located within a complex array
357 Interview with practitioner(s) No.02; 04; 05. 358 Interview with practitioner No.04.
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of dynamic issues that influence not only trust, but also knowledge formation. Moreover, and
similarly to observations made by Borne (2006: 99) on the CRISP359 project, de-mystifying
common misconceptions about PREVENT suggests the discursive representations of
PREVENT cannot be considered in autonomy, but must be sensitive to the underlying social
and political processes that exist, including virtual risk. Risk based on virtuality is more
Beckidian than Giddeon and coincides with the cultural relativist approach to risk. For Beck
(2000: 13), risks are ‘a type of virtual reality or real virtuality’. Beck is aware that his concept
of ‘[World] Risk Society’ is also a ‘science, media and information society’ (Beck, 1992a: 46),
and ‘... the political site of world risk society is not the street but the television’ (Beck, 1999c:
44). For the reflexive agenda, this is established through the relationship between aesthetic and
cognitive reflexivity (Borne, 2010: 82). Beck exemplifies this by maintaining that ‘... the
images in the news of skeletal trees, or of dying seals have opened people’s eyes’ (Beck, 1999c:
71). For Beck, this opening of people’s eyes is evidence of a reflexive modernity.
Castells’ (1996, 2000a)
analysis of risk presents a theoretical overlap with Beck with respect to the creation of
knowledge and the circulation of information in a globalised world (Borne, 2010). Importantly,
a common term for both commentators is the notion of ‘real virtuality’ (Borne, 2010: 83).
Castells (2000a: 318) tells us that real virtuality is a ‘... system in which reality itself is fully
immersed in a virtual image setting in the world of make believe, in which symbols are not just
metaphors, but comprise of actual experience’. In a similar vein, as Borne (2006: 99) observes,
Beck concurs with Van Loon (2000) who describes a ‘cybernetic reproduction’ of risk, arguing
that risk cannot be understood outside of its representative form. According to Beck, risks (in
the present day) become more potent as a direct result of “virtuality”. Thus, the scale and extent
of manufactured threats force citizens to consider risk in political terms. Such discussions move
to the heart of what constitutes risk and should be understood in light of the epistemological
debate that exists between realists and constructivists (Borne, 2006: 99). Considering these
dynamics, as well as Giddeon logic in relation to trust and risk, fundamentally influences the
extent that PP is capable of being fully understood through the concept of reflexive modernity.
359 The Carbon Reduction Innovation Support Pilot (CRISP) in Plymouth, UK, represents collaboration between
governmental and non-governmental actors to produce sustainable lifestyles and contribute towards sustainable
development more generally (Borne, 2006: 100).
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7.3 Key Theme 2: PREVENT as Safeguarding
7.3.1 Embedding Expertise: Assemblage over Network
In the preceding section, it was argued PP might be understood as governing at a distance
(Rose, 1999) through methods of embedding expertise. For example, the concept of WRAP
evidences the panoply of agents and agencies which are brought together in order to reduce the
risk of radicalisation at local level. This is much in keeping with the notion of governmentality,
of which risk can be read as ‘governed via a heterogeneous network of interactive actors,
institutions, knowledge(s) and practices’ (Lupton, 1999: 87). Moreover, recall the utility of a
dispositif outlined in chapter 3 as ‘coming to those with whom it answers a particular need (or
“urgent need” as Foucault referred to it). Identifying this urgent need then delineates various
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responses, specifically those that result in a cohesive body of relations: an attempt is made to
resolve it with an entire arsenal of implements and arms (Foucault, 1996). This heterogeneity
of “arms” (mechanisms, institutions) is what Foucault terms a dispositif.
One might posit that PP - as
operationalised within a ‘hyper-complex’ security environment - coincides with the concept of
dispositif. However, it is my opinion that comparatives can only be made by moving away
from readings of Foucault’s dispositif which have been depicted as reductionist - seeing it as
an attempt to define a functionalist concept as ‘the basic unit’ (Brenner, 1994: 687) - and
towards the view that a dispositif should be read as generative (see Huxley, 2006). The
reductionist reading of dispositif as a prosaic device or as utilities ‘to produce something – a
machinic contraption’ (Foucault, 2003a: 10) becomes problematic when measured against the
participants’ account of PREVENT. Rather, the participants’ accounts of embedding expertise
through PP are more in keeping with the Deleuzian reading of dispositif as ‘assemblage’.
As a caveat, the term ‘assemblage’ did not
feature in any of the participants’ responses or accounts. Rather, most participants tended to
refer to the wider body of social actors responsibilised through a multi-partnership CT approach
as a ‘network’:360
“It’s about trying to identify groups out there who would benefit from some
awareness of the PREVENT strategy and hopefully make the engagements with them
and long term it’s to set up the liaison and the networks really”.361
“It’s crucial, the partnership, and certainly where you can now see where ... you can
see the impact of budget cuts ... massively have hit local authority and again, you
know, you’re looking to establish the workings and network that you can call upon
quite quickly if there is a concern there and be able to be very active, very
quickly”.362
The notion of network coincides with the literature on ‘dispositif as ‘apparatus’: a complex and
combinatory ‘network’363 of relations that allow us to “see and speak” (Deleuze, 1992). Indeed,
360 Interview with practitioner(s) No.01; 03; 02; 05; 06. 361 Interview with practitioner No.05. 362 Interview with practitioner No.03. 363 Rabinow and Rose (2003: 10) argue that Foucault himself said that ‘the defining aspect of apparatus was their
grouping of heterogeneous elements into a common network (réseau)’.
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one might be tempted to depict the invocation of the teacher, social worker, healthcare
professional etc., which distributes and enmeshes responsibility for preventing radicalisation
through society as connoting a ‘network’. However, understanding PP through the concept of
assemblage is based on an interpretative approach to thematic analysis and is justified in the
following ways. First, it is important to understand the context in which the term network was
used. Participants’ accounts of PREVENT are indicative of PREVENT officers forming part
of an assemblage, not bodies that sit over and apart from assemblage. Their manoeuvres and
negotiations are entangled in a wider governance structure and it is through such relationships
that the constraints and impositions of the ‘centre’ are revealed (Allen, 2011). In this way,
“embedding” expertise does not sit well with readings of dispositif as apparatus or network as
discussed in chapter 3, even if the term ‘assemblage’ was not directly used. Rather, embedding
expertise shares increasing parallels to forging alignments within literature on assemblages that
is ‘the will to govern as a point of convergence and fracture’ (Li, 2007: 268).
Second, following the work of
McFarlane (2009: 2) on “translocal” assemblages, the key partners which the participants
described as making up the multi-partnership “network” had far more historical depth than the
notion of “node” or “point” suggests – as connoted by network e.g. the health sector; the
education sector, the fire service, the probation service, etc. Thus, it is difficult to understand
the last strategic objective of PREVENT (i.e. institutions) as simply a spatial category, output,
or resultant formation. Rather, it was found that not only does PP signify doing and
performance but at different moments in times, these relations within and between sites in the
assemblage are vulnerable to collapse, or to re-assembling in different forms (McFarlane, 2009:
6-7). The re-assembling of different forms can be seen within participants’ accounts of
(mis)trust. Moreover, as the research findings indicate, there is an emphasis placed on fragility
and provisionality, fissures and fractures that accompany processes of gathering and dispersing
(McFarlane and Anderson, 2011: 124-125). Therefore, PP through a multi-agency approach
should not be read as an assemblage whereby anything goes, but is vulnerable to fracture and
dispersion:
“We also go into the voluntary sector, community youth groups, youth offending
teams (YOTS), UKBA ... a lot of housing groups, particularly a lot of housing where
they’re supported by (name of local housing group), which is a housing group which
looks after people with mental issues. And it tends to be these groups; they ask us to
come along as a one-off, but some others are almost embedded ... For example, now
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at (name of university) we are officially part of the Social Work course. We were
hoping to get in with Nursing, but that hasn’t quite worked out ... And teacher
training ... but, you know, as time goes on it’s expanding and expanding. But training
still remains a significant part of our job, either as one-off training, or with police,
or regular officers”.364
“I’ve had a couple of schools that looked like they were interested and then the Head
Teacher has said, “I’m really sorry, I’ve got targets that I have to hit - I don’t want
you to come in and give your training”...” 365
In more simple terms, participants emphasised the “hard work” required to draw complex
“social and material formations” that consist of “heterogeneous elements” together ... and
sustain these connections in the face of increasing tension” (Li, 2007: 264). As Ong and Collier
(2005) suggest, assemblages are never ‘reducible to a single logic’, and they do not ‘always
involve new forms, but forms that are shifting, in formation, or at stake’. Chorusing this
viewpoint, Tsing (2005) states, ‘every situation brings with it its own different set of
connections that are unpredictable in both their constitution as well as their outcome’.
Lastly, a conceptual lens of assemblage combines a focus on the (discursive)
‘problematisation’366 of radicalisation as a security matter with analysis of the ways in which
the problem is rendered technical, how alliances are forged in its name, and how it acts in local
settings (see Li, 2007: 265). This is important when providing perspective on language and
terminology associated with counter-radicalisation on the ground. Thus, as Ploger (2008: 54)
observes, ‘if one wants to emphasise Foucault’s work on the relations between elements, a
translation of dispositif as “assemblage” (Deleuze’s ‘agencement’) could be seen as
relevant’.367
In a similar way to assertions made by de Goede and Simon (2013) on the Nuansa
364 Interview with practitioner No.02. 365 Interview with practitioner No.01. 366 In the 1980s, Foucault frequently used the expression “problematisation” apparently referring to the political
relevance of a dispositif: “it is true that my attitude isn’t a result of the form of critique that claims to be a
methodical examination in order to reject all possible solutions except for the one valid one. It is more on the
order of ‘problematisation’ - which is to say, the development of a domain of acts, practices, and thoughts that
seem to me to pose problems for politics” (Foucault, 1984b: 384). 367 This does not mean that I am entirely abandoning Foucault’s notion of dispositif as ‘apparatus/network’. As
Legg (2011) articulates, the interconnections between apparatus and assemblage can be productively thought of
as a dialectic. Thus, according to Legg (2011: 129-130), ‘what we are left with between the two author’s
discussions is an acknowledgement that apparatuses are etymologically and genealogically indissociable from
assemblages. Since both emerge as part and one of each other, they are almost comically assemblage-like’.
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training programme, 368 PP acts as complex assemblage that does not definitively and
coherently act but is rather a ‘generative flux of forces and relations that work to produce
particular realities’ (Law, 2004: 7). Thus, PP can be seen as a ‘broad descriptor of different
historical relations coming together, as an ethos oriented to the ‘instability’ of interactions, and
the potential for novelty and spatiotemporal difference, and as a concept for thinking the
relations between stability and transformation in the production of the social’ (Anderson et al.,
2012: 171-172, italics in original). Importantly, in discussing the internal dynamism of
assemblages, Deleuze directs our attention to how, as he puts it, ‘all the elements of a non-
homogenous set converge, making them function together’ (Deleuze and Parnet, 1977: 39).
The emphasis is squarely the bringing together of the heterogeneous entities into some form of
temporary relation (or set of relations) without presupposing that these relations necessarily
constitute on organism (Anderson et al., 2012: 177). An assemblage is therefore both the
provisional holding together of a group of entities across differences and a continuous process
of movement and transformation as relations and terms change (Anderson et al., 2012: 177).
The term provisional is crucial since the line of fracture between PREVENT police and key
partners - the line drawn by the will to govern supplemented by the capacity to coerce -
threatens the assemblage. Remarkably, the same line enables diverse authorities to forge
workable (though fragile) alignments among themselves (Li, 2007: 269). Understanding risk
through the concept of “vulnerability” is indicative in this respect. As one participant noted
when discussing more routine police work:
“If you have someone brought into custody under the Mental Health Act and we
would say, “Look, this individual has real problems, they need some help”. And then
they get assessed by a psychiatrist who might say, “Nah, they’re alright”. But that’s
not possible because we know of that person’s vulnerabilities”.369
Embedding expertise within PP can also be understood through two further lines of
thought. First, Giddens’ (1990) theory of modernity suggests that the esoteric aspects of
expertise in modern systems have little or nothing to do with the ineffability of pre-modern
368 Nuansa is a knowledge-gathering group for frontline professionals involved in CoPPRa and RecoRa
programmes in the Netherlands (see de Goede and Simon, 2013). In relation to the CoPPRa and RecoRa
programmes, de Goede and Simon (2013: 317) outline, ‘CoPPRa is an EU-funded Belgian initiative that seeks to
bridge Community Policing and counter-radicalisation through the development of training materials for frontline
police to spot signs of radicalisation’. RecoRa on the other hand, was ‘an EU-funded programme that brought
together counter-radicalisation practitioners from the UK, the Netherlands and Germany to workshop best
practices with frontline professionals’ (de Goede and Simon, 2013: 317). 369 Interview with practitioner No.04.
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expertise. Instead, key to modern abstract systems is the dependence on a combination of
training and specialisation. The knowledge incorporated in modern forms of expertise is, in
principle, available to everyone, have they the available resources, energy and time acquire it
(Giddens, 1991). Thus, abstract systems are opaque to the majority. Their opaque quality – the
underlying element in the extension of trust in the context of dis-embedding mechanisms –
comes from the very specialisation that abstract systems demand and foster (Giddens, 1992:
30). As Giddens (1990: 145) points out, ‘technical knowledge, in one shape or another, is re-
appropriated by lay persons and routinely applied in the course of their day-to-day activities’.
Moreover, the interaction between expertise and re-appropriation is strongly influenced by
‘access points’ (Giddens, 1990). WRAP is an indicative example of such since, through a
mixture of risk and opportunity, the high-consequence risk of terrorism permeates the core of
day-to-day activities within partner institutions.
Second, embedding expertise might be read in a similar way to observations
made by Aradau and van Munster who describe how the anticipatory governance of terrorism
has manifested as a dispositif of risk that ‘activates all the technologies imaginable in the face
of uncertainty’ (Aradau and van Munster, 2007: 105). Importantly, such observations are
indebted to Foucault’s notion of governmentality and the ‘retreat of state’. As Lemke (2002:
11), drawing upon the work of Foucault, observes:
‘What we observe today is a displacement from formal to informal techniques of government and the
appearance of new actors on the scene of government, that indicate fundamental transformations in
statehood and a new relation between state and civil society actors. These effects entail not just the
simple reproduction of existing social asymmetries or their ideological obfuscation, but encompass the
displacement of forms of practices that were formerly defined in terms of nation state to the
development of forms of sub-politics, “beneath” politics in its traditional meaning’.
Whilst both avenues of thought shed light on the semantics of flexibility and the
introduction of new structures of production within a neo-liberal governmentality (Lemke,
2002), there is also a further dynamic to PP. PP requires a disaggregated framework in which
subsidiary authorities possess a significant degree of autonomy in terms of practically pursuing
the overall goal of pre-empting radicalisation and/or extremism. In a similar way to the
objectives of the Nuansa programme, partners and communities ‘autonomatised’ by PP are
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simultaneously ‘responsibilised’370 (Li, 2007: 269) since internal and external partners (as well
as society at macro level) are recruited into the assemblage and authorised to act in its name
(see de Goede and Simon, 2013). This adds a coercive element to governmental strategies that
operate, as far as possible, through rather than against the desires and interests of their target
population (Dean, 1999: 209). This, then, is not entirely governmentality as outlined in chapter
3. The notion of a highly centralised governmental apparatus where power is practiced as an
antithesis of freedom and agency (see inter alia McKee, 2009; Stockdale, 2014) does not
provide an adequately nuanced account of the empirical actualities of PP at local level. Rather,
embedding expertise within PP might be more plausibly understood through Judith Butler’s
(2006) reading of governmentality - that is, ‘sovereignty within the midst of governmentality’.
7.3.2 PREVENT and the Petty Sovereign
Butler follows Foucault by arguing that the proliferation of governmentality is most visibly
illustrated in the current moment by the ongoing “disarticulation” of the state ‘into a set of
administrative and bureaucratic powers’ (Butler, 2006: 55). This phenomenon is particularly
characterised by the downloading of what she terms “prerogative power” to unelected agents
of the state - a managerialisation of governance in which appointed “officials with no clear
claim to legitimate authority” are endowed with what amounts to sovereign power within a
particular context (Butler, 2006: 54-56). In a similar way to Butler’s observations on
‘decisioners’ within American national security, PP governs through risk by evoking
institutions and individuals as partners - they are essentially powerless (not controlling the
inaugurating forms of power that they deploy) - while wielding the power to render unilateral
decisions. This is sovereign power performing itself through governmentality by ‘ruling’
through the application of rules (Butler, 2004: 56–65), partly embodying the power of the state
in everyday engagements (Huysmans, 2011) in which new (relatively) hidden or obscure
powers are invented and acted upon (McRobbie, 2006).
The various actors that are tasked with CT through PREVENT are diffusely constituted
by the interaction within an assemblage of multiple-existences of power, each exercising its
own varied degree of agency vis-à-vis the ultimately sovereign centre (Rose and Miller, 1992;
Stockdale, 2014). For instance, key trusted individuals considered partners emerge as the power
370 The responsibilisation of citizens as an adaptive strategy within crime control is far from a new development
(see inter alia Garland, 1996), nor is it a novel observation in relation to the ‘risk society’.
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of the ‘official’- a figure that is ‘deployed by tactics of power (s/he) does not control’ but who
is also able to exercise decisional power in a way that ‘reanimate(s) a sovereignty that the
governmentalised constellation of power appeared to have foreclosed’ (Butler, 2006: 65).
Butler has labelled these figures “petty sovereigns”.371 Butler
applies her analysis to figures such as border guards, airport security officials, customs agents,
intelligence officers, and military field commanders. However, it is important to recognise that
the petty sovereign figure can refer to any agent endowed with such capacities within the
broader governmental assemblage, given that Butler leaves open the possibility of an otherwise
(Butler, 2006: 56, 65, emphasis added). In the context of the present study, this ‘otherwise’
might be understood as any social actor ‘delegated with the prerogative power to render
unilateral decisions in a particular context’ (Butler, 2006: 56). Or, to put it differently, any
“manager of unease” that is responsibilised to help prevent or reduce the risk of radicalisation
e.g. a health worker, an education worker, a community leader, a charity worker, etc. This is
because, as de Goede (2008b: 176) points out, the governing effects of petty sovereigns ‘do not
just target precisely circumscribed risk groups, but affect society at large, through assumptions
and definitions of ‘normal’ behaviour’. The following dialogue(s) illustrates the downloading
of prerogative power within PP:
“We also train people, for instance, people within (the) fire (service), to give them
an input on PREVENT, and they will then go and cascade that message on, so that
isn’t us sort of face-to-face with them, it’s their own staff”.372
“Going back a few years, there was 5 white kids in a school in (name of location)
who came out with some quite radical right-wing views. (Name of colleague)
arranged for a local Imam he knows to go along, talk to them in a classroom for a
couple of hours. Not only did that guy change the perception of those five kids -
basically their view of the world was that all Muslims are terrorists - but following
that chat, they then spread that message amongst the wider school. That to me is
success”.373
371 Butler applies the concept of the “petty sovereign” at the exceptional level within her discussion of
Guantanamo Bay. In the present study, Butler’s figure of the petty sovereign is applied at local level since the
delegation of PP power to key partners means that such individuals are not true sovereigns - they are constituted
within the constraints of governmentality - and yet they act. 372 Interview with practitioner No.06. 373 Interview with practitioner No.04.
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Utilising Butler’s figure of the petty sovereign in order to explain PP as co-production
highlights the productive tension between the ‘structure’ of PREVENT as a pre-emptive
dispositif of risk outlined in chapter 3 and the autonomous ‘agency’ of these seeking to render
it actionable that is key to governance of PP within a ‘pre-criminal’ space. Moreover, Butler’s
figure of the petty sovereign is also illustrative of agency/structure dichotomy central the
concept of reflexivity. As Mythen and Walklate (2010b: 55) observe, one of the key shortfalls
of risk theorising has been its inability to articulate a meaningful relationship between structure
and agency. For instance, Beck (1992a: 191) notes, as a consequence of reflexive
modernisation, political decision-making processes, no matter on what level they occur, can no
longer be understood as the enforcement or implementation of a single model determined in
advance, but is rather a process of collective action. This implies that the official decision-
making authority of political institutions is necessarily decentralised (Beck, 1992a: 191).
However, both Beck and Giddens have equally fallen into the trap of conflating agency either
with responsibility (prudentialism), affect (neurosis), or political confrontation
(cosmopolitanism) (Mythen and Walklate, 2010b). This paradox is defined by Archer (2007:
41) as one in which there is a ‘failure to transcend the dualisms of subject/object,
structure/agency and thus to recognise each as constitutive of the other’.
Whilst all structural properties found in any society are continuously activity
dependent, nevertheless, it is possible to separate structure and agency through analytical
dualism, and to examine their interplay in order to account for the structuring and restructuring
of the social order (Archer, 2012). Fundamentally, this is important for two reasons. First,
structure and agency are different kinds of emergent entities, although space precludes entering
the debate about emergence here. This is shown by the differences in their properties and
powers, despite the fact that they are crucial for one another’s formation, continuation, and
development (Archer, 2012: 51). Bhaksar (1989: 76) puts it succinctly: ‘People and society ...
do not constitute two moments of the same process. Rather they refer to radically different
things’. Thus, structure and agency operate diachronically over different tracts of time because:
(i) structure necessarily predates the action(s) that transform it; and (ii) structural elaboration
necessarily postdates those actions (Archer, 2010). Drawing
upon the work of Butler, Stockdale (2014: 108-109; see also Butler, 2006: 62) suggests petty
sovereigns are constrained within an overarching discursive/governmental structure since ‘they
do not fully control the aims that animate from their action and yet equally retain a significant
degree of agency since the general idea of pre-emption can only be translated into a functional
security rationality by delegating prerogative powers to various agents tasked with making it
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so’. The participants’ accounts within the present study might be read in a similar way. As one
participant put it, “it’s about the Housing Manager or any local authority worker working
alongside the local cop”.374 However, Stockdale (2014) further comments there is an additional
dimension to the connection between Butler’s paradigm of political power and the praxis of
the agency-structure relationship that obtains under pre-emptive security governance. For
Butler, petty sovereigns are far from coincidental since they often serve as figures through
which pre-emptive security rationalities are practically operationalised (Stockdale, 20014; see
also Butler, 2006). In other words, it is those figures which Butler sees as embodying
sovereignty within governmentality that are often on the frontline implementing pre-emptive
security logic (Stockdale, 2014). In a similar way, since the PREVENT team had fewer officers
than that of a ‘priority/high risk’ area, gaining the trust, confidence and support of frontline
institutions’375 was considered a chief priority of PP. One such method was through training
workshops with partner institutions considered to operate on the frontline:376
“Quite clearly it is highly unlikely that one of us in the team is someone that sees
something.377 It’s way more likely that someone working as a frontline staff - be it
any institution - is going to see something”.378
Furthermore, the downwards defluxion of prerogative power to unelected frontline agents can
also been seen within the PREVENT strategy which states: ‘departments and statutory partners
have undertaken activity to raise awareness and help frontline staff to identify signs of
vulnerability’ (HM Government, 2011b: 57, [Figure 9.12], emphasis added).
Taken at face value the ‘petty sovereign’ figure might imply that the managers
of risk could reign at free will, as Butler (2006: 96) puts it, ‘governmentality produces lawless
sovereignty’, one with ‘no end in sight’. However, as Huber and Scheytt (2013: 8) point out, it
would be an oversimplification to argue that risk management is a dispositif that could be used
as a totalitarian instrument of power by organisational or political elites in a completely
undistorted manner and of their own will. Recall that the latter half of the original definition of
the dispositif is that of ‘a formation ... the nature of an apparatus is essentially strategic, which
means that we are speaking about a certain manipulation of relations of forces ...’ (Foucault,
1977, as cited in Agamben, 2009: 2). Although power here is not understood as a position by
374 Interview with practitioner No.04. 375 Interview with practitioner No.02. 376 Interview with practitioner No.04. 377 This can also be understood through Giddeon logic, since, for Giddens, ‘the prime condition of requirements
for trust is not lack of power but lack of full information’ (Giddens, 1990: 33). 378 Interview with practitioner No.02.
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an individual à la Max Weber, it serves a strategic purpose, but not by a single actor ruling at
will (Huber and Scheytt, 2013: 8). Rather, relevant partners and individuals “responsibilised”
through a dispositif of risk might be read in a similar way to observations made by Young
(2006) on social connectivity and responsibilisation. For Young (2006),
a social connection model of responsibility comprises responsibility as an interpretation of
obligations of justice arising from structural social processes, which can only be discharged
through collective action. Moving away from the paradigmatic of the ‘liability model’ - that is
to be responsible is to be guilty or at fault for having caused a harm and without valid excuses
- Young (2006: 119) interprets responsibility ‘by virtue of social roles or positions, as when
we say that a teacher has specific responsibilities, or when we appeal to our responsibilities as
citizens’. In this meaning, finding an agent responsible does not imply finding the agent at fault
or liable for a past wrong, but rather refers to agents ‘carrying out activities in a morally
appropriate way and aiming for certain outcomes’ (Young, 2006: 119). In the context of the
present study, as various participants suggested, post-PREVENT training partners “could see
their role and responsibility within PREVENT”.379 Reading PP through the concept of “petty-
sovereign”, as well as in line with Young’s (2006) responsibility model, perhaps provides a
partial response to Amoore and de Goede’s question: ‘how is responsibility to be reintroduced
to the decision, such that it confronts the political difficulties of indecision?’ (Amoore and de
Goede, 2008c: 182). In essence, PP might be read as a politics of ethics with its focus on
individual and institutional responsibility to act on principles of conduct and by connecting
subjective decisions to the reproduction of sovereign decisions with gravitational power
(Huysmans, 2011).
7.3.3 PREVENT(ion) through Language
As can be seen in the previous chapter, terminology and language associated with the
operations of PP play an important role in achieving both the second objective of PREVENT
(i.e. protecting vulnerable people), as well as a multi-institutional CT approach (the third
objective of PREVENT). The research findings indicate that preventing radicalisation and/or
extremism is realised discursively through language and terminology, which ultimately fuses
exceptionality to normality regarding who may be vulnerable to radicalisation. Importantly, it
is not that language determines outcomes, but inter-subjective understandings formed through
379 Interview with practitioner(s) No.06; 14.
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discursive practice delimit spaces for agency, and thus have a causal effect on what outcomes
are possible (Fisher, 2012). Two key phrases that are helping to mainstream PREVENT in
various key sectors are “vulnerability” and “safeguarding”.
Li’s (2007) concept of ‘problematisation’ is particularly instructive when
analysing how the heterogeneous parts of a dispositif are assembled and orders hold together
and endure both across differences and through differences (Anderson et al., 2012: 177). For
Li (2007), ‘problematising’ is an important element in the assemblage, and analysis of ‘how
problems come to be defined ... in relation to particular schemes of thought, diagnosis of
deficiency and promises of improvement’ remains important, alongside questions of how
knowledge is rendered technical and depoliticised; how alliances are forged, and how failures
and contradictions are reincorporated into the assemblage (de Goede and Simon, 2013: 319).
Participants’ accounts suggest that the ‘problematisation’ of radicalisation has been made
possible through notions of radicalisation as a process and not as an event, as linked to
terminological modification.
The importance of language does not escape Deleuze in his rendering of dispositif as
assemblage. Deleuze connects the concept of dispositif to that of power in Foucault’s writing,
where relations of power ‘constitute an act upon an act’. For Deleuze (1988), a dispositif is a
discursive or non-discursive force that disperses in space through discourses (speaking, words).
Moreover, according to Deleuze, one of the main points is that ideologies and subjectification
‘always assume an organisation or “system” within which they operate’ (Deleuze, 1988: 29).
What Deleuze is hinting at is the centrality of language and expression to any dispositif. As
Deleuze (1992: 9) notes, ‘a dispositif comprises of truths of enunciation; truth is the
actualisation of the lines which constitute a dispositif’. This assertion finds support in work by
Deleuze and Guattari (1987, [2004]: 407) who term assemblage a “constellation” which can be
divided on two axes. It is the second of these axes that is of concern to the current discussion:
“enunciation” (Deleuze and Guattari (1987, [2004]: 81). Enunciation refers to a collection of
languages, words and meanings; a provisional unity is produced through the ‘co-functioning’
of words (Deleuze and Parnet, 2006: 52, emphasis added).380
Although I have drawn upon Deleuzian
etymology above, this does not mean that Foucauldian logic disappears out of view; far from
it. As the previous chapter demonstrates, PP is transforming from a punitive-based model to a
380 The curve of enunciation which conditions the dispositif (Deleuze, 1992) might be read in a similar way to
changes in terminology within PREVENT(ion) governance.
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more normalised invocation of care - the phrase “radicalisation as another form of abuse”
clearly evidences this morphogenesis. Further, PP understood as “safeguarding” transforms the
distinction between normality and exception and thus modifies our understanding of the
relationship between politics, risk and preventing radicalisation in ways similar to observations
made by Aradau et al. (2008: 152), who state:
‘The architecture of the normal takes shape through heterogeneous and mundane actuarial practices,
through the arbitrary declarations of risky-ness and bureaucratic reallocation of power. The
imperceptible and unknowable captured by technologies of risk are re-inscribed upon concrete
everydayness, thereby colonising normality. Rather than the limit of normality, risk infuses
exceptionalism381 within the governmentality of everydayness’.
Such assertions go to the heart of what is considered Foucault’s greatest intellectual
accomplishment: to investigate the microphysics of power by diffusing the macro-perspective
of the state and centring on the power-holders through the notion of dispositif.
Foucault’s microphysical layer of the dispositif is an important departure point to make
sense of participants’ understandings of radicalisation “as another form of abuse”. Foucault’s
conceptualisation of power-knowledge as a microphysical layer of interconnected disciplinary
dispositifs is employed in his account of the emergence of ‘normalising’ practices. However,
drawing upon the work of Georges Canguilhem, Foucault extends the concept of the ‘norm’ in
new directions. For Foucault, the norm draws its meaning from what is outside itself that does
not conform to what it requires; it evaluates this outside negatively, but is also dependent on it
(Ennis, 2008: 257). Foucault supports this observation in his discussion of the carceral system
within Discipline and Punishment (see Foucault, 1977). For Foucault, the dispositif of the
prison is positioned at the centre of the disciplinary continuum of different types of carceral
institutions (Ennis, 2008: 257). Importantly however, as Ennis (2008: 234) observes:
‘Normalising processes are not, as is often assumed, the product of the functioning of disciplinary
dispositifs in general. Foucault argues that the fact that these processes spread across society was due
to the influence which the carceral system exercised over other institutions involved in the supervision,
correction and improvement of individuals who fell outside the normal range of various behaviours’.
381 For a detailed analysis of exceptionalism in the context of the war of terror, see Neal (2006).
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In this development, behaviour is placed on a “grid of normality” which ultimately links
categories (or “institutions”) that had previously been separate; this without suggesting that the
resultant formation is top-down mechanisms of power (see Foucault, 1991). Rather, separate
institutions ‘shape behaviour in congruence with particular sets of norms and with a certain
goal’ (Dean, 1999: 15, emphasis added). Subsequently, as Foucault (1975: 304) observes,
behaviour is either normalised or pathologised by teachers, doctors and social workers who
emerge as the new “judges of normality”. Participants’ accounts of PP suggest embedding
expertise through the notion of “radicalisation as another form of abuse” might be read in a
similar way.382 PP
conceptualised as “safeguarding” also coincides with the logic of dispositif precautionary risk,
which emphasises the central importance of mundane, everyday life to practices of anticipatory
security (Amoore and de Goede, 2008a). As Louise Amoore (2009: 55-56) has put it, data-led
security practices ‘concerned with anticipating an uncertain future’ - that she calls algorithmic
war - ‘(re-inscribe) the imaginative geography of the deviant, atypical, abnormal “other” inside
the spaces of everyday life’. The latter point is particularly crucial since the knowledge
practices that cast radicalisation as a social process or continuum suggest the possibility of
early identification and intervention in the life-worlds of potential future radicals (de Goede
and Simon, 2013). Importantly, this literature is influenced by Foucault’s concept of the norm
even if it has been extended and applied in new directions. Ultimately, whilst Foucault’s aim
was to “cut off the king’s head” in political analysis, counter-radicalisation as linked to an
invocation towards “safeguarding” is helping PP to govern as a ‘headless body as if it indeed
has a head’ (Dean, 1994: 156).383 This is a crucial element of counter-radicalisation through
PP since, the notion of dispositif is ‘far from being a single system of management with a
common rationality, it consists of knowledges, practices, and institutions that have no more
unity and no more necessity beyond the simple fact of being stitched together’ (Braun, 2014;
see also Deleuze, 1988). As Deleuze (1992: 163, 160) notes, ‘a dispositif is composed of lines,
each having a different nature. And the lines in the apparatus do not outline or surround systems
which are each homogenous in their own right, object, subject, language and so on’.
In light of these observations, many might posit
that this, then, is not the risk society explored by Beck: an account of risk almost wholly
382 Ericson and Haggerty’s Policing the Risk Society (1997) is also instructive here. Specifically, Ericson and
Haggerty posit policing as “risk communication” and the police as “knowledge workers” (Ericson and Haggerty,
1997: 3, 19); see also Rose (1998). 383 This is without going as far to suggest that various institutions automatically follow the dictates of a central
authority.
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preoccupied with cataloguing the growth of man-made dangers. However, this does not mean
reflexivity is entirely fallible in making sense of PP understood as “safeguarding”. An
invocation towards safeguarding is indicative of PP as a reflexive organisation. For instance,
Jessop (2003) suggests that there are several conditions for effective reflexive self-
organisation. These are:
‘(a) Simplifying models and practices, which reduce the complexity of the world but are still congruent
with real world processes and relevant to actors’ objectives; (b) developing the capacity for dynamic,
interactive social learning among autonomous but interdependent agencies about causal processes and
forms of interdependence, attributions of responsibility and capacity for actions, and possibilities of co-
ordination in a complex, turbulent environment; (c) building methods for co-ordinating actions across
social forces with different identities, interests, and meaning systems, over different spatio-temporal
horizons, and over different domains of action; and (d) establishing a common world view for individual
action to stabilise key players’ orientations, expectations, and rules of conduct’ (Jessop, 2003: 147).
PP understood as safeguarding adheres to all four conditions. Moreover, Hoogenboom and
Ossewaarde (2005) suggest that the implications of shifting from rational to reflexive ethics
leaves reflexive organisations with the aim of uniting members through a collective
understanding of the situation their organisation is in the contest of extreme uncertainty. One
participant succinctly summed up this situation of uncertainty: “Whatever our organisation is
we’ve got a duty of care. But never before would I have put safeguarding and counter-terrorism
in the same sentence. And that’s PREVENT!”384 This is because reflexive organisations are
confronted with a divergence and conflict of ethical perceptions of its members (Hoogenboom
and Ossewaarde, 2005). Indeed, as Beck notes, the ‘latent unintended consequence’ of risk
society does not mean no knowledge at all but one knowledge whose claims are controversial
(Beck, 1999c: 120, emphasis in original). Furthermore, for Beck, the latent unintended
consequences thus denote a conflict of different expert knowledge leading to a battle-ground
of pluralistic rationality claims (Beck, 1999c: 120, italics in original). The participants’
discussions around juxtaposed definitions of “vulnerability” are indicative of the dogmatism
Beck refers to. Moreover, for reflexive organisations, the measure of integration is the ability
of their members to shape the future for themselves (Hoogenboom and Ossewaarde, 2005:
617). Changes in terminology and language as connoted by “vulnerability”, “risk” and
“safeguarding” should not be viewed as separate from this observation.
384 Interview with practitioner No.04.
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Lastly, reflexive organisations are not just socially
designed, they transform into such through social necessity. Moreover, for Hoogenboom and
Ossewaarde (2005: 617), what separates bureaucracies from reflexive organisations is that
reflexive organisations are ‘forced to communicate openly’. The overt nature of PP can be seen
throughout participants’ accounts in the preceding chapter. Thus, viewing PREVENT as a
reflective authority perhaps goes someway in addressing observations made by Aradau and
van Munster (2007: 12) who state, ‘it is not clear how a theory of risk based on an evolutionary
understanding of modernity can explicate the risk technologies deployed in the war on terror’.
Furthermore, reflexive decision-making, in this case an invocation towards an ethics of care,
might also be read as putting the limited use of intelligence that job segmentation generates to
the fore, because in a late modern society, structured by latent rather than manifest
consequences, intelligence, in particular social intelligence, must be maximised (Hoogenboom
and Ossewaarde, 2005: 617). A multi-agency approach to counter-radicalisation is considered
imperative since, as English (2009: 131) observes, ‘intelligence is the most vital element in
successful counter-terrorism’. In this way, PP contextualised as “safeguarding” can also be
understood within the conceptual matrix of political analysis.
7.3.4 PREVENT(ion) through Safeguarding: Political Rationality
In chapter 3, it was argued the heterogeneous elements that make up a dispositif could be
understood more systematically as techniques, technologies and rationalities for the
government of society. Moreover, it was suggested that the semantic linking of governing and
modes of thought indicate that it is not possible to study technologies of power without an
analysis of the political rationality underpinning them (Lemke, 2002: 2-3). Indeed, the concept
of governmentality defines a discursive field in which the telos of action is ‘rationalised’
following a specific form of reasoning (Hindess 1996: 106). PP contextualised as
“safeguarding” might thus be conceptualised as what Nikolas Rose and Peter Miller, following
Foucault, term a “political rationality”385 (Rose and Miller 1992; see also Aradau and van
Munster 2007: 97; Stockdale, 2014: 100). A political rationality “problematises” a certain
385 As Lemke (2002: 2-3) observes, it is within the lectures of 1978 and 1979 and a focus on the “genealogy of
the modern state” that Foucault outlined the importance of political rationalities. For Foucault, the semantic
linking of governing (“gouverner”) and modes of thought (“mentalité”) indicates that it is not possible to study
the technologies of power without an analysis of the political rationality underpinning them.
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aspect of the social world, and offers a framework through which “programmes of government”
can be developed in response to the identified problem(s) (Stockdale, 2014: 181-2, 100).
Moreover, PREVENT(ion), as linked to an invocation of care, might be seen as an attempt of
‘rationalisation’, and an account for the ‘authority of authority’. As Rose (1990: 10) observes,
‘contemporary government ... operates through the delicate and minute infiltration of the
ambitions of regulation into the very interior of our existence and experience as subjects’.
Rationalities appear therefore as knowledgeable discourses that represent objects of
knowledge, confer identities and agencies upon social and political actors, and identify
problems to be solved (Dean and Hindess, 1998). The
research findings embody the literature on political rationality in various ways. First, as Rose
and Miller (1992: 178) posit, ‘political discourse is a domain for the formulation and
justification of idealised schemata for representing reality, analysing it and rectifying it’. In
chorus, Stockdale (2014: 8) articulates:
‘Political rationalities are explicitly premised upon an underlying normative claim regarding the
particular realm of human affairs with which they are concerned, as they both affirm that this area
requires governmental action, and offer a normative-conceptual framework that guides political action
in a certain context by both articulating the sort(s) of problem(s) to be addressed, and providing a
programme for action through which political power can be mobilised toward these ends’.
Coinciding with this logic, recall form the previous chapter that “safeguarding” was understood
to be “more welcoming to partners”,386 “people seem to “get it” more”,387 and “it’s the only
way we can afford to do it”.388
Second, because political rationalities imply such a practical dimension whose
actualisation will be subject to the inexorable vagaries of social context, political rationalities
‘do not have the systematic and closed character of disciplined bodies of theoretical discourse’
(Stockdale, 2014: 178). Thus, it is possible to discern regularities that are termed political
rationalities (Rose and Miller, 1992: 276) as those that refer to a ‘discursive field within which
the exercise of power is conceptualised’, which combines ‘justifications for particular ways of
exercising power by diverse authorities’ with ‘notions of the appropriate forms, objects, and
limits of politics, and conceptions of the proper distribution of such tasks’ (Rose and Miller,
1992: 175; Stockdale, 2014: 100). In the context of the present study, participants suggested
386 Interview with practitioner No.05. 387 Interview with practitioner No.02. 388 Interview with practitioner No.04.
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that in the past, the phrase PREVENT had problematically become associated with situational
crime prevention more generally.389
Third, because they are concerned both with framing a social problem as in need of
rectification and providing a governmental framework through which it can be addressed,
‘political rationalities have a characteristically moral form’ that ‘consider(s) the ideals or
principles to which government should be directed’ (Stockdale, 2014: 178-9, 100-101,
emphasis added). As the participants made clear: “We’ve moved away from the word
PREVENT as it was unhelpful, whereas safeguarding is a term used by our partners daily”.390
Here, the interview discussions embody Foucault’s later analysis of thinking as a situated
practice of critical reflection that establishes a certain critical distance from existing forms of
acting and understanding and works to remediate and recombine these forms (Collier, 2009:
80). As Collier (2009) observes, Foucault’s 1978-79 governmentality lectures place new
emphasis on thinking as an active response to situated problems and as a key driver in shaping
new topologies of power. Moreover, such occurrences are situated amid upheaval, in sites of
problematisation in which existing forms have lost their coherence and their purchase in
addressing present problems, and in which new forms of understanding and acting have to be
invented (Foucault, 2009: 95).391 However, it would also seem PP coincides with a re-reading
of Foucault’s account of neoliberalism itself. Examining ‘advanced liberal government’ (rather
than a generalised concern with neoliberal governmentality), Rose et al. (2006: 84) emphasise
how projects of political rationalisation ‘are constantly undergoing modification in the face of
some newly identified problem or solution’. Concurring with Rose et al. (2006), Collier (2009:
99-100) argues that neoliberalism is not a form of knowledge-power or a kind of
governmentality that establishes the ‘conditions of possibility’ for thinking and acting in a
certain way. For Collier (2009), it is not a diagram of power or a congeries of technical
elements. Instead, as Collier (2009: 100) writes, ‘it is a form of thinking, a kind of reflection
that aims to critique and remediate existing mentalités and practices of government that have
become uncertain or problematic’.
Fourth, political rationalities have what one might term an ‘epistemological’ character.
That is to say, they are articulated in relation to some conception of the nature of the objects
governed - society, the nation, the population, the economy (Rose and Miller, 1992). In
389 Interview with practitioner(s) No.02; 03. 390 Interview with practitioner No.02. 391 Interestingly, an emphasis on ‘thinking’ and ‘inventing new forms’ is also indicative of Beckidian societal self-
critique.
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particular, they embody some account of the persons over whom government is to be exercised.
As Rose and Miller (1992: 276, italics in original) point out, ‘these can be specified as members
of a flock to be led, legal subjects with rights, children to be educated, a resource to be exploited,
elements of a population to be managed’. The epistemological character of PP is evident within
the interview discussions around PREVENT contextualised as safeguarding which effaces
connotations of punitive intervention, evoking instead a questionably more palatable brand of
normalisation through appropriate “advice”, “guidance” and “support” offered to individuals
vulnerable to extremist trajectories. Lastly, political rationalities are
articulated in a distinctive idiom. The language that constitutes political discourse is more than
rhetoric. It should be seen, rather, as rendering reality thinkable in such a way that it is amenable
to political deliberations (Rose and Miller, 2008). Applying such observations to the present
study, operationally (and rhetorically) the term “vulnerability” was considered the subject of
debate not least because of juxtaposed institutional definitions and interpretations of the
concept itself. However, as some participants suggested, over time terms such as
“safeguarding” and “vulnerability”, as linked to the operations and objectives of PP, are
becoming politically legitimate among authorities alike. This is because political rationalities
are morally coloured, grounded upon knowledge, and made thinkable through language (Rose
and Miller, 1992, emphasis added).
7.4 Key Theme 3: Risk as Gut Feeling
As the previous chapter makes clear, (external and internal) partners, as well as the local
community more generally, are encouraged to act upon risk using the experiential system
(intuitive, automatic, natural, narrative) rather than the rational system (analytical,
deliberative). In so being, PP coincides with the literature on pre-emption outlined in chapter
3 since the primary basis of the security decision based upon instinctive risk shifts risk from
the realm of empirically verifiable facticity to the realm of the imagination (Stockdale, 2011).
As Melinda Cooper (2006: 120) concisely explains, the core premise of the logic of pre-
emption ‘exhorts us to respond to what we suspect without being able to discern; to prepare for
the emergent long before we can predict how and when it will be actualised; to counter the
unknowable before it is even realised’. Moreover, acting upon risk in a compressed time space
and devoid of democratic deliberation (Stockdale, 2014) is being primarily encouraged based
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on “gut feelings” (Elmer and Opel, 2008: 14; see also de Goede, 2012). As Elmer and Opel
(2008: 14) emphasise, “gut instinct” emerges as the primary basis for decision/action ‘in the
absence of either time to contemplate decisions or adequate intelligence and research on which
decisions are based’. The absence of time and intelligence can be seen in the participants’
discussions regarding the relationship between partner referrals and acting upon risk as
instinctive feeling(s):
“Tell us what you’ve got when you’ve got that gut feeling, that hunch rather than
when you’re sure something’s wrong because by then it might have gone too far
down the road”.392
“We don’t want them to then sit there and try to assess it and work their way through
it”.393
Participants emphasised the importance of not deliberating whether to act upon risk
through an emphasis on “sharing concerns” at the earliest possible stage. Thus, the research
findings coincide with precautionary dispositif of risk outlined in chapter 3, which reconfigures
the debates between securitisation as the introduction of speed and urgency at the heart of
democracies (Aradau and van Munster, 2007: 332). However, before proceeding further it is
important to be clear on what is being argued. Democratic deliberation quite clearly plays an
important role within PP operations. If deliberation played no such role, PP would be reduced
to merely an exercise of violence. The concept of democratic deliberation featured in many of
the participants’ accounts of risk management as linked to ‘gut feeling’ post-referral: “let us
make that call”;394 “don’t try and come up with the solution or the answer, let other people
consider it”;395 “the second side of things is dealing with the individual referrals of people of
concern. Trying to assess what level of risk they actually do pose”.396 This said, an “elixir of
speed” (Falk, 2010: 255) is being encouraged over democratically oriented deliberation at the
referral stage (i.e. identification) since, as one participant noted, “I think that’s where the
breakdown in previous missed opportunities has been”.397 In this way, the importance of acting
on “gut feeling” most clearly illustrates how a pre-emptive politics relies on the play of ‘affect’
392 Interview with practitioner No.14. 393 Interview with practitioner No.03. 394 Interview with practitioner No.14. 395 Interview with practitioner No.05. 396 Interview with practitioner No.02. 397 Interview with practitioner No.03.
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(Massumi, 2007), as it illuminates the decisional logic through which such a politics of risk is
operationalised. In other words, affective resonances are not merely crucial to making the
future actionable in the present – they also provide the underlying informational basis in the
context of a pre-emptive rationality since, in Ewaldian terms, precaution “invites one to
anticipate what one does not know yet” (Ewald, 2002: 288). As one participant stated: “Don’t
try and work out whether that individual is then going to go on to become a terrorist because
there’s so much else before that”.398
7.4.1 PREVENT as Pre-emption and the Play of Affect
Theorising ‘affect’ as the pre-individual capacity to affect and to be affected, Brian Massumi
emphasises the role played by autonomic bodily responses, which have been defined as in-
excess of conscious states of perception and therefore point to a ‘visceral perception’ preceding
perception (Massumi, 2002: 25). For Massumi, the turn to affect is about opening the human
body to its indeterminacy (Clough et al., 2007). It is therefore necessary for Massumi to define
affect in terms of its autonomy from conscious perception and language, as well as emotion
(Clough et al., 2007). Massumi (2002: 25; see also Clough et al., 2007: 66) proposes that if
conscious perception is to be understood as the narration of affect - as it is in the case of emotion
- there is, nonetheless, always “a never-to-be-conscious autonomic remainder”, “a virtual
remainder”, or an excess that pertains to the virtuality of affect itself. Massumi’s concept of
the “affective fact” usefully captures this idea. For Massumi, the affective fact refers to a
circumstance in which an ‘affective mechanism ... exhibit(s) the certainty to which empirical
facts aspire’- that is, an empirically ungroundable set of premises to which the powerful
resonance of affective responses grants the semblance of veracity (Massumi, 2005a: 7; 2010:
55; Stockdale, 2014: 143). The idea of affective fact can thus refer to precisely the sort of
imagined potentialities upon which anticipatory action is premised, since the latter cannot be
grounded in empirical data - as they exist only in the ultimately unknowable future - and yet
are endowed with an adequate degree of veracity to serve as the basis for concrete interventions
in the present (Massumi, 2010: 68; Stockdale, 2014: 143-144).
The notion of affect
understood as a pre-emptive politics of risk usefully sheds light on the research findings around
individualised intuitive risk feelings. Firstly, Zajonc (1980) proposers those affective reactions
398 Interview with practitioner No.03.
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to stimuli are often the very first reactions, occurring automatically and subsequently guiding
information processing and judgement. Under this logic, affective reactions may serve as
orienting mechanisms, helping us navigate quickly and efficiently through a complex,
uncertain, and dangerous world (Slovic et al., 2004). Recall that acting upon gut feeling was
accorded importance since it was “simple language”399 that partners “understood instantly”400
and could “immediately relate to”.401 Secondly, affect means the
specific quality of “goodness” or “badness”: (1) experienced as a feeling state; and (2)
demarcating a positive or negative quality of a stimulus (Slovic et al., 2004: 312). Thus, affect
shifts its mode of intervention from corrective perturbation responding to chaotic stirrings to
alarm in response to the uncertainty of threat (Massumi, 2005b). Damasio (1994; see also
Slovic, 2004: 314) for example, argues that when a negative somatic marker is linked to an
image of a future outcome, it sounds an ‘alarm’. The participants’ accounts of risk as linked to
a feeling of uneasiness suggest that, in the context of PP, dispositif precautionary risk has
moulded itself to threat. Outlining the concept of ‘threat’, Massumi
(2005a) observes, ‘threat’ does not belong to linear time, but ‘belongs to the non-linear circuit
of the always have been ... a threat that does not materialise is not false. It has the affective
reality of a past future, truly felt’ (Massumi, 2005a: 3). Thus, as Massumi (2005b: 35, emphasis
added) puts it, ‘a threat is unknowable. If it were known in its specifics, it wouldn’t be a threat.
A threat is only a threat if it retains indeterminacy. If it has a form, it is not a substantial form,
but a time form: a futurity. The threat as such is nothing yet - just a looming’. Accordingly, for
Massumi (2005b), the event remains virtual - future-past - but is real and present in its effects.
The present reality of its effects means that threats are responded to pragmatically all the while
remaining virtual (Massumi, 2005a: 8). Thus, threat is a futurity with a virtual power to affect
the present quasicausally. Moreover, as Massumi (2005b: 35) observes, ‘when a governmental
mechanism makes threat its business, it is taking this virtuality as its object and adopting
quasicausality as its mode of operation. That quasicausal operation goes by the name of
security’.402
Risk conceptualised as ‘virtuality’ coincides with the notion risk outlined by Beck.
‘Risk’, writes Beck, ‘reverses the relationship of past, present and future’.403 Thus, risk is the
399 Interview with practitioner No.05. 400 Interview with practitioner No.03. 401 Interview with practitioner No.02. 402 The virtuality of risk is mentioned in PREVENT strategy but only with reference to the technological
interpretation of ‘virtual’, rather than virtuality as futurity (see HM Government, 2011b: 44). 403 Similarly, Giddens (1991: 111) makes this point in his discussion of risk as the ‘colonisation of the future’.
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consequence of an action, which has yet to materialise. In attempting to avoid risk, one is thus
defining present problems by their perceived future consequences (Rasmussen, 2001: 239). In
Beck’s (1999c: 52) words, ‘future events that have not yet occurred become the object of
current action’. At present, there is no effect, only the scenario of what may happen. Scenarios
make risks, in Beck’s phrase, a ‘real virtuality’ (Beck, 1999c: 136). Accordingly, the very
causality of political discourse is thus circumvented. It is not present actions that are to produce
future results, but perceived future results that produce present actions (Rasmussen, 2001: 239).
Acting on gut
feeling - as read through Massumi’s concept of affect - also coincides with the logic of
dispositif precautionary risk since there is a paradoxical reciprocity between threat understood
as a quasicause (see Massumi, 2005b). Importantly, radical uncertainty about both the precise
nature of the threat and the moment at which it is likely to emerge does not serve as an
impediment to anticipatory action (Stockdale, 2014). Rather, it instead provides the very reason
for it, since the radical uncertainty of the present as well as the potential imminence of future
catastrophe suggests that, ‘(w)ithout some form of action, a threshold will be crossed and a
disastrous future will come about’ (Anderson, 2010a: 780). Or, in Massumi’s (2007: 8) words,
‘the threat is known to have the ontological status of indeterminate potentiality’. Moreover, as
Stockdale (2014) articulates, ‘the indeterminacy of potentiality demands that anticipatory
adopts a lower threshold of certainty with respect to the nature and imminence of the threat’.
In the context of the present study, acting upon risk as linked to individualised risk threshold(s)
was a recurring theme in the participants’ discussions:
“The threshold at which somebody crosses that point of vulnerability into doing
something more dangerous and potentially where they pick up the phone and speak
to somebody it is going to be different for every individual”.404
“The levels of threat that people perceive may have different thresholds at which
concern them, but it still has to be that gut feeling - whether it be the level is 9 out of
10 or 1 out of 10 - it still is a gut feeling that something is not quite right”.405
“We want them to think about, not only their experience in their role, but also life in
general, to use that as their risk test, their risk threshold that they feel”.406
404 Interview with practitioner No.03. 405 Interview with practitioner No.05. 406 Interview with practitioner No.03.
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Accordingly, PP encourages active citizenship through individuals managing and calculating
their now risk (see Beck 1999). Such a perspective coincides with Beck’s (and to a degree
Giddens’) assertions on the ‘individualisation’ of risk outlined in chapter 4. In Beck’s (1994a:
vii) words, ‘the notion of ‘risk’ is central to modern culture today precisely because so much
of our thinking has to be of ‘as-if’ kind. We regularly construct potential futures, knowing that
such construction may in fact prevent them coming about’. Or, to put it differently, ‘modernity
institutionalises the principle of radical doubt and insists that all knowledge(s) takes the form
of hypotheses: claims which may very well be true but which are always open to revision and
may have at some point to be abandoned’ (Giddens, 1991: 1). As the participants suggested:
“We’re not saying it is definitely going to be terrorism or extremism”;407 “If it’s nothing, as is
often the case, it can be written off in a matter of hours, after you’ve done the checks”.408
Giddens (1991: 29) sums this situation up thus:
‘The popularity of futurology in the system of high modernity is not an eccentric preoccupation. It
signals a recognition that the consideration of counterfactual possibilities is intrinsic to reflexivity in
the context of risk assessment and evaluation’.
Furthermore, Beck posits that there has been the transformation of personal time
consciousness, and the adoption of a uniquely reflexive future orientation embedded in the
practice of self-government (Binkley, 2009). According to Beck, individuals are increasingly
encouraged to act upon thresholds of risk tolerance, to extend their awareness of the temporality
of their own actions into a far-reaching future and to incorporate a self-distancing regard for
their own conduct in the face of uncertain outcomes (Binkley, 2009: 87).409 With the cultural
ubiquity of risk in everyday life, for Beck, individuals are responsibilised into a perpetual
process of decision-making and inured to making personal risk assessments (Hudson, 2003:
44). As Beck (1994b: 8) puts it, individuals are now expected to master these ‘risky
opportunities’, without being able to make the necessary decisions on a well-founded and
responsible basis, that is to say, considering the possible consequences. Importantly, Beck
(1994c: viii) suggests that ‘we differ among ourselves in our various diagnoses of what these
political ramifications might be’. Thus, rather than the Kantian or Cartesian subject of simple
modernity, as Lash (2002: ix), drawing upon the work of Beck, observes:
407 Interview with practitioner No.03. 408 Interview with practitioner No.02. 409 See Beck (1992a, 1994, 1994b); Beck and Beck-Gernsheim (1995, 1996, 2002).
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‘Reflexes are indeterminate. They are immediate. They do not in any sense subsume. Reflexes cope
with a world of speed and quick decision-making. What Beck often omits to say is that the individual
must choose fast, must – as in reflex – make quick decisions. The non-linear individual may wish to be
reflective but neither has the time or space to reflect in an atmosphere of risk in which knowledge and
life changes are precarious’.
The research findings also trouble the concept of risk as conceptualised within
modernist understandings that use risk and uncertainty interchangeably and thus consider each
as separate epistemic conditions. Rather, acting on gut feeling coincides with a pre-emptive
logic of security through a transformation of the logic of risk itself. As Aradau et al. (2008)
make clear, risk understood as a dispositif (due to the double infinity of risk) tries to discipline
uncertainty by bringing uncertainty under control, making it orderly and docile. The idea of
risk thus renders the inherent contingency of the future both “knowable and actionable” by
“making the unpredictable predictable” (Aradau et al., 2008: 150). Or, in Ewaldian terms, to
calculate risk is ‘to master time, to discipline the future’ (Ewald, 1991: 207).
Such
findings also support Stockdale’s (2014) excellent recent critique of Philip Fisher’s typology
of temporal spaces. In his 2002 book The Vehement Passions, Fisher offers an account of the
way “the passions” - meaning the affective resonances that colour and characterise the human
experience - are crucial to mediating our understanding of, and relation to, temporality in
general and the future in particular410 (Fisher 2002: 78). Importantly, Fisher makes a clear
distinction between what he terms the “imminent future” and the “abstract future”, and their
respective relationships to the present (Fisher, 2002: 79; Stockdale, 2014: 128). Fisher
describes the abstract future as temporally distant (far removed from our existence in the
present) that we cannot possess any coherent knowledge or understanding of what the future
holds (Fisher, 2002: 79). This is because the epistemic fuzziness of the temporal distance means
that ‘we cannot think of ourselves as acting reasonably about it’; and as such, no impetus to act
is generated regarding its potentialities (Fisher, 2002: 80; Stockdale, 2014: 128). By contrast,
Fisher contends that the imminent future’s temporal proximity (about-to-be-realised moment)
grants it an adequate degree of intelligibility which thus activates the sorts of affective
resonances that generate the impetus for action in the present (Fisher, 2002: 80-81; Stockdale,
410 In more simple terms, Fisher (2002) posits that the operation of passions is deemed a necessary condition for
action in the present.
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2014: 129). In summarising Fisher’s future concepts, Stockdale (2014: 129; see also Fisher,
2002: 76) outlines that, for Fisher, the immediately imminent future is the only temporal space
from which potential events can generate the degree affective resonance required to trigger
some sort of action (a decision to act).
As Stockdale (2014: 130-131) instructively
articulates, ‘Fisher’s affectively mediated account of our relation to the future provides a
psycho-philosophical grounding which travels well to the conventional articulation of pre-
emption in the context of exceptional (inter)national security concerns that are located in the
Fisherian imminent future’. Moreover, Stockdale (2014) usefully draws attention to the death
of Jean Charles de Menezes which is instructive in this respect since, as Stockdale (2014)
suggests, it is plausible that the officers’ decision to “shoot to kill” was based on the “feeling”
that an attack was imminent; this most likely attributable to the previous 7/7 atrocities.
However, the experiential contents of risk as ‘gut feeling’ i.e. pragmatic speculations which
actively populate the sensations of the present, inhabits the Fisherian abstract future since PP
confronts radical uncertainty that is confined to speculative imaginings of radicalisation and/or
extremism which may or may not actualise. However, under this logic, Fisher’s framework
suggests that this would not generate the sort of affective response that would precipitate action.
Yet, following Stockdale (2014), it is precisely this type of ostensibly in-actionable potentiality
that the logic of PP takes as one such basis for action since PREVENT encourages the intrusion
of distant events into everyday consciousness (Giddens, 1991: 27).
As Stockdale (2014) astutely observes, understood this way, pre-
emption radically alters the distinction between the abstract and the imminent future to the
point where they “collapse”. In Stockdale (2014: 132, italics in original) words, passions can
be activated with respect to ‘potentialities, irrespective of their temporal proximity in the lived
present’. Thus, by encouraging partners and individuals to act on risk as gut feeling, PP
operates in a rather Machiavellian manner. As the famous Machiavellian passage reads:
‘It is necessary not only to pay attention to immediate crises, but to foresee those that will come and to
make every effort to prevent them. For if you see them coming well in advance, then you can easily
take the appropriate action to remedy them, but if you wait until they are right on top of you, then the
prescription will take long to take effect, because the disease is far too advanced’ (Machiavelli, 1531
[reprinted 2010]).
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Understanding PP in this way thus adds an additional layer of support to the broader claim that
PP functions as a political rationality since PREVENT changes the spatiotemporal conceptions
of the future with regard to the unfolding relationship of prevention as pre-emption. Prevention
requires certainty to legitimate action, however under pre-emptive logic, uncertainty acts as a
catalyst for anticipatory action in the present. Whilst the two adopt different methodologies to
capture and act on future space-times, PREVENT(ion) within the Fisherian abstract future
(through individualised gut feeling[s]) has not been reinvented, but rather refigured towards
risk as pre-emption.
7.4.2 PREVENT: Risk as Politics
PP understood through Massumi’s notion of “affect” provides enlightening perspective on the
identification of risk at the referral stage. However, and to reiterate, it would be incorrect to
suggest that no deliberation of risk(s) takes place post-referral; the participants’ accounts of
ERG22 are indicative of democratic deliberation, which to a degree, guides decisions based on
risk. Moreover, a second side of PP, or what the participants considered “the follow on” from
gut feeling, was that of dealing with individual referrals.411 Thus, it is implausible to suggest
that risk management within PP is entirely operationalised on the basis of pure speculation of
what an unknowable future might hold (Hacking, 1990) i.e. a gut feeling. Rather, the
participants’ accounts of PP post-referral suggest that the praxis of risk in a preventative
governance framework requires the ongoing accumulation of what O’Malley (2004b) terms
“risk knowledge”, which refers to any information deemed to be relevant or necessary for the
creation of an informed picture of the future412 (O’Malley, 2005: 51; see also Ericson and
Haggerty, 1997). Thus, PP might be understood as characterised by ‘the dance of affect and
reason’ (Finucane et al., 2003).
Slovic et al. (2004) posit that risk in the modern world is confronted and dealt with in
three fundamental ways:
‘Risk as feelings refers to our fast, instinctive, and intuitive reactions to danger. Risk as analysis brings
logic, reason, and scientific deliberation to bear on hazard management. When the first of these two
411 Interview with practitioner No.02. 412 Hence, how according to Rose (1998: 185), the claims experts/professionals become, in certain fundamental
senses, knowledge workers, engaged in the accumulation, calibration, classification and interpretation and
communication of information relevant to judgements about risk.
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orders of fact overlap in their pretension to certainty, this in effect produces a third reality - risk as
politics’ (Slovic, 2004: 311, emphasis added).
However, as Massumi (2005a) observes, as well as overlapping with the traditional family of
facts, affective facts overlap with command by logic by homology with it. Moreover, according
to Slovic et al. (2004) the central political significance of affect rests on these overlaps because
they enable a slippage between the orders they bring in contact. As Slovic et al. (2004: 316,
emphasis added) put it, ‘while we may be able to “do the right thing” without analysis, it is
unlikely that we can employ analytical thinking rationally without guidance from affect
somewhere along the line and vice versa’. In this way, the experiential mode of thinking and
analytical mode of thinking are continually active, interacting in what has been characterised
as “the dance of affect and reason” (Finucane et al., 2003). The
notion of “the dance of affect and reason” is instructive in explaining risk management within
PP post-referral:
“If it’s been a flippant remark, it’s been something whereby I think they’ve been a
little bit naive, the discussion will go round the table whether ... do we approach
them and let them know that we know about it? If it’s a child, do we get their parents
in and have a word with them? ‘Cause a lot of stuff these days is like social media,
things put on Facebook and like, for instance, Anders Breivik put himself in full
uniform with a gun ... some kids have got, like, Swastikas in the background ... not
really knowing what it is but they’re referred into us, and have they got extreme right
wing views? We don’t know sometimes”.413
Moreover, the aim of “judgement” within “the dance of affect and reason” is to develop a better
understanding of a future threat precisely at the edge of calculable knowledge in order to render
it actionable. As Briggs (2005: 57, as cited in Murphy, 2012: 119) contends, whilst these threats
may be beyond measures, ‘information is a means to an end - better and more confident
judgement’. Thus, in opposition to the claim by Beck who presents risk society as ‘riddled with
risks of which we can have neither knowledge nor measure’ (Aradau and van Munster, 2007:
93), the post-referral operations of PP might be thought of as characterised by what Aradau
and van Munster (2007: 93) call “the quest for knowledge” in the form of risk management
around prevention. To put it differently, in a Derridian sense, ‘the decision, if there is to be one,
413 Interview with practitioner No.01.
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must advance towards a future which is not known, which cannot be anticipated. In these terms,
a decision that is anticipatory is not a decision at all, but merely the application of a body of
knowledge’ (Derrida, 1994: 37; see also Derrida, 1992). Most
directly relevant to the current focus on decision-making under risk, and also consistent with
the positive view of emotions as affect, Slovic et al. (2004) have proposed an “affect heuristic”
that highlights the importance of affect for risk perceptions and risk-related behaviour (see
Slovic et al., 2004). For Slovic et al (2004: 314), the feelings that become salient in a judgement
or decision-making process depend on characteristics of the individual and the task as well as
the interaction between them. Moreover, it is argued individuals differ in the way they react
affectively, and in their tendency to rely upon experiential thinking (Peters and Slovic, 2000).
As Slovic et al. (2014: 314) posit:
‘Tasks differ regarding the evaluability (relative affective salience) of information. These differences
result in the affective qualities of a stimulus image being “mapped” or interpreted in diverse ways. The
salient qualities of real or imagined stimuli then evoke images (perceptual and symbolic interpretations)
that may be made up of both affective and instrumental dimensions. The mapping of affective
information determines the contribution stimulus images make to an individual’s “affect pool.” All of
the images in people’s minds are tagged or marked to varying degrees with affect. The affect pool
contains all the positive and negative markers associated (consciously or unconsciously) with the
images. People consult or “sense” the affect pool in the process of making judgements’.
The participants’ discussions around “dealing with referrals” might be read in a similar
way. For instance, the standardized risk framework of ERG22 coincides with a “quest for
knowledge” (Aradau and van Munster, 2007: 91), or, as Ben Anderson puts it, “anticipatory
epistemic objects” - the knowledge strategies through which ‘future possibilities and
potentialities are disclosed, objectified, communicated and rendered mobile’ in the face of
unpredictable futures (Anderson, 2007: 158; see also Lakoff, 2008). In one sense, the
application of a precautionary logic is invoked through the mapping of radicalisation as a linear,
teleological process as linked to ERG22. Moreover, the concept behind ERG22 transforms
radicalisation risk into a carefully crafted artefact, one linked to notions of normalisation. Thus,
ERG22 dissolves the notion of a subject or a concrete individual, and puts in its place a
combinatory of risk factors in a Castelian sense:
‘To intervene no longer means, or at least to begin with, taking one’s target a given individual in order
to correct, punish or care for him ... There is, in fact, no longer a relation of immediacy with a subject
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because there is no longer a subject. What the new preventative policies primarily address is no longer
individuals but factors, statistical correlations of heterogeneous elements. They deconstruct the concrete
subject of intervention, and reconstruct a combination of factors liable to produce risk. Their primary
aim is not to confront a concrete dangerous situation, but to anticipate all the possible forms of irruption
of danger’ (Castel, 1991: 288, emphasis in original).
In the context of the present study, PP understood entirely through the concept of
ERG22 adheres to what the governmentality literature has called ‘clinical’ risk. Clinical risk
works by locating probabilistic indicators of future conditions (O'Malley, 2004b: 22; see also
Aradau and van Munster, 2009). Furthermore, under this rationality, risks are to be detected in
ordinary situations, inscribed in everyday behaviours (Aradau and van Munster, 2009: 7).
Accordingly, as Castel (1991: 283, italics in original) suggests, ‘there can only ever be
imputations of dangerousness, postulating the hypothesis of a more or less probable
relationship between certain present symptoms and a certain act to come. In this way, risks
‘dwell “in” the subject even though it has often not yet manifested itself in any act’ (Castel,
1991: 283). In relation to risk management through ERG22, the language of (susceptibility to)
persuasion, disadvantage and vulnerability creates a “vulnerable” (potential) suspect separate
from radicalised recruiters.
Importantly, the research findings do not fully coincide with Castel, or the logic of
clinical risk since participants emphasised radicalisation as a “fluctuating and unpredictable”
process (Vermeulen and Bovenkerk, 2012: 19). Thus, the notion of “affect heuristic” is
instructive since it sheds light on the participants’ accounts of the role played by gut feeling
alongside risk knowledge management. In contrast to Castel who states, ‘the essential
component of intervention no longer takes the form of direct face-to-face relationship between
the carer and the cared, the helper and the helped, the professional and the client’ (Castel, 1991:
281), participants emphasised the importance of individual engagement, experience, common
sense and gut feeling post-referral.414 This, then, does not fully coincide with observations
made by Castel or dispositif at the limit. Rather, PP might be read as case-management within
the oeuvre of governmentality.
Under a case-management approach, individuals are deemed threatening or disruptive
in some way to the social order. Risk calculation in this type involves the qualitative assessment
of risk for individuals or groups who are deemed to be ‘at risk’ (Dean, 1997: 17). However, in
contrast to clinical risk rationalities, a case-management approach uses more individualistic
414 Interview with practitioner No.05.
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sources of data derived from interaction with and observation of specific clients (Lupton,
1999). Once risk is assessed, techniques for managing it on the part of the relevant experts are
brought into play (Dean, 1997: 217-18; Lupton, 1999). Risks are thus created, circulated,
proliferated and capitalised upon in a whole variety of burgeoning ways and identified by a
whole host of new actors who enter the scene. Interestingly, Foucault (2007: 68) questions: ‘Is
security a different ‘dispositif’ based on risk and profiling of population, based on monitoring
the future and the potential actualisation of the present? Have we escaped from the territory
with the population as statistical category and not as people?’ Whilst there was to be no reply,
in the context of present study, it would seem the combination of ERG22 alongside risk
management as individual engagement, common sense and gut feeling has connotations with
Foucault’s original reading of dispositif, as well as dispositif conceptualised as statistical
categorisation at the limit.
Chapter 8
Final Remarks and Directions for Future Research
8.1 Introduction
The axiology underpinning this thesis might be interpreted by some readers as dispassionate.
This thesis has not sought to provide a review of PREVENT in relation to the concept of suspect
communities and/or BME demographics. Whilst such analyses have certainly contributed to a
greater understanding of PREVENT, 415 such tracks have become significantly worn and
subsequently research into PREVENT has become repetitive and fatigued. Rather, this thesis
has explored PP as linked to the concept of risk, both of which play a crucial role in preventing
415 See, for example, Spalek and Lambert (2008); Spalek (2009a and b); Thomas (2012).
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radicalisation at local level, yet are significantly under-researched and under-theorised.
By pursuing a somewhat
experimental pathway, the objectives of this thesis can be read as triadic. First, this thesis
contributes to a rather underwhelming knowledge of PP. Second, this thesis has examined two
risk positions at local level rather than against exceptional or discursive frameworks, as has
been the case in the context of the war on terror. Third, this thesis has drawn attention to the
complicity and structurally related functioning of concepts within dispositif risk and reflexive
risk as measured against the empirical reality of PP on the ground. However, I acknowledge
the idiographic nature of the research and thus consciously distance the findings from statistical
generalisation. Moreover, there is no desire to situate the findings within grandiose theoretical
claims by proposing this thesis conveniently merges two very different risk positions as
harmonious sociological bedfellows. In essence, there is no attempt to meta-theorise. Rather,
this thesis has followed a sketch outlined by Tulloch (2007) who observes, ‘different parts of
different traditions can be used together in future risk research, provided that two conditions
are met: first, that the critiques of the risk society tradition and parts of the governmentality
tradition for “meta-theory” are met via detailed local empirical research; second, that the theory
of knowledge representation and the power of the researcher-as-writer becomes part of the risk
analysis as a norm of research practice’ (Tulloch, 2007: 166, emphasis in original).
8.2 On Pragmatics and Philosophy
This thesis has drawn attention to the significance of trust within PP. Figure 3.15 of the
PREVENT strategy clearly states, ‘trust in PREVENT must be improved’ (HM Government,
2011b: 6). However, in the battle to win “hearts and minds”, the focus of the PREVENT
strategy is centred on increasing trust at local community level (macro level). Subsequently,
there is a virtual absence of space devoted to the issue of inter-organisational trust (micro level;
see HM Government, 2011b). This thesis has provided perspective on this oversight by
situating the findings within Giddeon logic, specifically, The Consequences of Modernity. The
findings indicate that PP heavily relies on the development of positive interpersonal “pure”
relationships that might be thought of as “kinship connections” before trust and confidence are
formed at abstract-systems level (the PREVENT agenda itself). Moreover, it would seem
personal relations are significantly influenced by the personal demeanour of PP officers: hence,
the emphasis on ‘soft power’ - that is, openness, honesty and familiarity. Importantly, once
“active trust” was established, key partners were more likely “buy-into” PREVENT and “sell”
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PREVENT as an agenda to other key stakeholders, institutions and individuals at local level.
The thesis has also
drawn attention to how PP upholds social relations over time and space constraints. PP attempts
to dis-embed (and re-embed when and where necessary) the PREVENT agenda within key
partner institutions. However, certain relationships within a multi-partnership framework were
considered periodic and transitory and thus, ontological anxiety was overcome by the
emotional acceptance of absence. In so being, it would seem PP is functionally alien to methods
of working which ignore the intricate nature of trust at both individual and abstract level, thus
troubling Giddeon logic which conceptualises trust in a one-dimensional manner. Crucially,
what both levels of trust require is a reciprocal relationship that takes a considerable amount of
time to cement. At present, research that examines inter-organisational partnerships within
PREVENT, particularly in relation to the notion of trust, is significantly lacking. This thesis
strongly advocates the need for further research into this oversight.
Figure 11.18 of the PREVENT strategy
states, ‘policing has played a galvanising role in developing local PREVENT partnerships and
bringing together a wide range of other organisations to support the strategy’ (HM
Government, 2011b: 99; see also HM Government, 2013b: 4). Related to this statement, this
thesis has drawn attention to how PP eschews the traditional one-dimensional security
dichotomy and thus addresses two levels of sub-politics: governance processes through
partnership working (systems induced reflexivity) and at individual level in the form of
participants of the scheme (individual reflexivity).416 Moreover, whilst PP might be thought as
‘rule-altering politics’ (Beck, 1994b: 34-36) as a result of the ‘multi-lateralisation’ of auspices
and providers that constitute this new security assemblage, as has been argued, it is important
to avoid blanketing Beck’s realist approach in its primary form and remain aware of Beckidian
etymology which includes a cultural relativist approach, natural-scientific objectivism,
constructivism, and a sociological perspective (Beck, 1995: 76).
Whilst this thesis does not challenge the sanguinity of the aforementioned PREVENT
statement (i.e. HM Government 2011b [Figure 11.18]), it does highlight some ambiguities
regarding the operationalisation of PREVENT as a smooth top-down governance structure.
Many might posit the hyper-complex security environment that PP operates in as embodying
416 For a similar analysis of sub-politics and governance (though not applied towards CT), see Borne (2010: 71-
72).
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post-structuralist readings of Foucault’s concept of governmentality. However, this thesis has
argued that a highly centralised governmental apparatus where power is practiced as an
antithesis of freedom and agency does not provide an adequately nuanced account of the
empirical realities of PP in a low risk area. Rather, PP operates diffusely within an assemblage
of multiple-existences of power, each exercising its own varied degree of agency vis-à-vis the
ultimately sovereign centre (Rose and Miller, 1992, 2008; Stockdale, 2014).
Subsequently, this thesis highlights the potential of the generative reading of dispositif
as “assemblage” to offer an alternative account to that of “network”, the pre-dominant and
often de facto concept used in discussion of governance reform (McFarlane, 2009). The
potential of assemblage as a theoretical tool lies in is very manipulability: in its widest sense it
can be used as a broad descriptor of disparate actors coming together; as a way of thinking
about phenomena as productivist or practice-based; and as an ethos that tends to the social in-
formation, and as a means of problematising origins, agency, politics and ethics (Anderson and
McFarlane, 2011: 126). However, as Amoore and de Goede (2008b) point out, this does not
mean that such technologies exist as all-encompassing and all-seeing mechanisms by the state.
On the contrary, rather than viewing power as omnipresent and totalising, this thesis has argued
that the PP might be considered what William Connolly (2005: 144) describes as a ‘complex
assemblage’ fashioned by ‘resonances’ between multiple sites of authorisation (Amoore and
de Goede, 2008b). Inevitably, such
complexity brings with it sites of resistance, dogmatism and mutation. Thus, the empirical
actualities of PP coincide with a more ‘critical realist’ reading of governmentality, as opposed
to post-structuralist discursive accounts of identity. For example, this thesis has drawn attention
to some potential barriers to achieving the second and third objectives of PREVENT, such as
high employee turnover within key partner institutions, competing organisational objectives
and juxtaposed organisational interpretations and definitions of “risk” and “vulnerability”.
Thus, rather than being passively accepted, a multi-partnership approach had to be “worked
on” and “won”. Interestingly, securing the “buy-in” of both internal and external partners is, in
one way, achieved through terminological modification that embeds alignments of expertise
along an axis of “safeguarding”. Moreover, contextualising the radicalised (or potentially
radicalised) “vulnerable” subject in need of “protection” was understood to be pragmatically
necessary since, rhetorically, the lines between PREVENT and PURSUE were understood to
have become increasingly blurred in the past; a point reiterated in the PREVENT strategy (see
HM Government, 2011b, [Figure 6.40]).
Even given the positive benefits produced by re-orientating risk towards an
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invocation of safeguarding, it is problematic to assume coherent joined-up methods of
PREVENT(ion) where funding restriction means it is not compulsory to govern in such a way.
This situation is potentially exacerbated in a world of ‘lightly-engaged strangers’ (Young,
1999) and the burgeoning body of official security actors that is the hallmark of social and
political relations. In the context of the present study, whilst in theory PREVENT is recognised
as a multi-agency approach - that is, ‘the coming together of various agencies to address a
problem’ (Crawford, 1998: 119) - the research findings err towards PP as ‘inter-agency’
involving ‘some degree of fusion and melding of relations between agencies’ (Crawford,1998:
119). Interestingly, Mythen and Walklate (2005: 15) point out the danger of governmentality
is that ‘individuals are portrayed as insentient “docile bodies” observing and obeying
disciplinary discourses’. In chorus, Lupton (1999: 102) states, ‘governmentality can be
criticised for devoting too much attention to ... discourses and strategies and not enough to how
people actually respond to them as part of their everyday lives’. In the context of PP, the
research findings support both assertions.
The PREVENT strategy states, ‘one of the effects of PREVENT to date has
been the improvement in understanding and co-operation between police and communities in
this country on a range of issues, including security’ (HM Government, 2011: 10). At a policy
level, this thesis highlights a fundamental divide between the assumption made in
governmental rhetoric which champions “communities defeat terrorism” and the realistic
uptake at the case study site. Whilst participants recognised that, to a degree, individuals and
groups within the local community generate intelligence, the “communities defeat terrorism”
rhetoric was considered utopian. Rather, PP operates far more prevalently in a co-productive
manner with key trusted individuals or ‘connectors’ (Spalek, 2014), more akin to the concept
of ‘strong network ties’ emanating from theories on social networking (see Gravonetter, 1973,
1983). Thus, rather than PP adhering to governmentality in its primary form, this thesis has
engaged with Butler’s conceptualisation of sovereignty in the midst governmentality (Butler,
2006). The
research findings suggest it is those figures Butler terms ‘petty sovereigns’ who are considered
frontline workers in the fight against extremism rather than “communities” in the broader sense
of the term. Moreover, it was also found that this method of working was far from coincidental
but pragmatically necessary given that PP operates within a ‘pre-emptive risk trap’ (Beck,
1999c: 141) as a result of what Beck terms ‘the political side effects of civilianisation’s side
effects which threaten the continued existence of the democratic political system’ (Beck,
1992a: 80). Thus, Butler’s figure of the petty sovereign deserves cognisance when analysing
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pre-emptive governance within PP as it implies an answer to the agency-structure dichotomy.
The delegation of PP power to key partners means that such individuals are not true sovereigns
- they are constituted within the constraints of governmentality - and yet there is space for
practical agency within which they act. It has also been argued that
the figure of the petty sovereign does not mean there are significant ramifications for
‘capricious proceduralism outside the law’ (Butler, 2006: 92) as Butler suggests. Rather, this
thesis has argued PP might be understood as a dispositif that serves a strategic purpose, not by
a single actor ruling at will, but in line with Young’s (2006: 123) responsibilisation model
which suggests that ‘responsibility derived from social connection is ultimately political
responsibility’. As Young (2006: 123) clarifies, ‘most fundamentally, what I mean by “politics”
here is public communicative engagement with others for the sake of organising our
relationships and co-ordinating our actions’. Accordingly, PP attempts to turn the democratic
public and political community upside down forming associations and experimenting with new
kinds of political participation as a political rationality. Thus, the concept of risk cannot be
reduced to a mere description of a certain empirical political reality (Peterson, 2012: 696). Nor
can political rationalities be divorced from ‘risk’-oriented thinking. Rather, risk must be
understood as a medium for defining the possibility of politics since political risk is contingent
on political action. Thus, PP becomes a politics of risk. Subsequently, it would be fruitful for
future research to examine PREVENT from a vantage point of political theory and political
science, as well as sociology and criminology.
Understanding PP through notion of sovereignty in the midst of
governmentality also raises further questions regarding “the decision” of risk that ushers in the
political. Whilst a detailed discussion of securitisation theory is beyond the scope of this
chapter, an important point warrants discussion. It becomes arguable that both Schmitt and
securitisation theory which preclude giving sufficient recognition to the possibility of multiple
and dispersed decisions and ultimately the possibility of locating either sovereignty or “the
political” in any unambiguous and decidable way is problematic (cf., Schmitt, 1985).
Conversely, this thesis adds support to Doty’s (2007: 130) argument for ‘the possibility of
securitisation practices originating from social actors who are not necessarily strategically
positioned politically or institutionally’. As Doty’s (2007: 130) conceptual reading of border
vigilantes suggests, arguably, just the reverse may be the case: “the decision” “we,” “the
people,” “the nation,” “the society,” is in fact a plurality of decisions made from diverse locales
including “from below”. Similarly, PP understood as “societal responsibility” exposes a hole
at the heart of a definitive locus of sovereignty; everyone is potentially the “police” - faceless
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creators and up-holders of the social order if they so desire (cf., Doty, 2007: 133; 2009).
This thesis has also argued the importance of the notion of affect
to PP. To understand how PP governs in the present to avoid potential harm in the future, this
thesis has drawn attention to risk as individualised gut feeling(s) to the point where, following
Stockdale (2014), the abstract and immediate future - in a Fisherian sense - collapse. Thus,
while the idea of pre-emption is perhaps most often associated with discourses of security
exemplified through exceptional and discursive frameworks, this thesis has highlighted the
central importance of daily, mundane and everyday life to practices of anticipatory security
which requires fastidious attention at its own level. Subsequently, this thesis has perhaps
responded to observations made by criminologist Richard Ericson that the logic of pre-emption
can be seen to permeate all aspects of the exercise of power in the current moment and not just
exceptional practices and discourses (Ericson, 2008: 58). PP is conceived in terms of
“safeguarding” the future of “vulnerable” individuals from what may or may not come to pass
by undertaking precautionary measures in the present that are conceived in relation to an
imagined future since PREVENT governs within a pre-criminal space. Thus, from a
Foucauldian (and Nietzschean) standpoint, PP can be seen to operate ‘against time, and thus
on time, in favour of a (hoped for) time to come’ (Deleuze, 1992).
8.3 On Risk
This thesis has aimed to complement critiques of PREVENT by introducing a critical risk
perspective which, as Heath-Kelly (2012: 3) points out, ‘is much more frequently applied to
the war on terror technologies of biometrics and data mining of financial transactions,
exceptional CT measures, or the re-evaluation of security practice around risk’. However, to
be clear, the theoretical subtleties and nuances of governmentality and risk-society theories
(and the wider integrities and social utility of these theories) have not been the only focus of
this thesis. The objective has not been to reify either Foucault’s or Beck’s work or exegeses of
said authors. As Mythen and Walklate (2005: 380) point out, ‘given the sprawling corpus
available, coverage of both perspectives is necessarily incomplete’. Like all theories, they
simply provide the theoretical lens through which PP has been systematically analysed. Nor
has the object of the task been one of solely exploring PP. Rather, this thesis has drawn attention
to the fact that PP cannot be reduced to a single risk perspective. Whilst it is acknowledged that
different types of risk have their distinctive rationality and set of technologies, i.e. each of the
disciplines is underscored by particular methods for acquiring and applying knowledge to
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uncertainty shaped by risk, in instances they are functionally complementary.
As Anderson (2007: 158)
observes, O’Malley has previously made a similar argument drawing on the example of the
promissory logic of contract law where he cautions against any one-dimensional understanding
of anticipatory practices by arguing that uncertainty itself has long been a distinctive modality
of governance based on both (see O’Malley, 2000: 461). In the context of PP, to understand
the ways in which the concept of risk has been interpreted, made calculable, displaced,
supplemented and substituted, what is necessary is to consider a genealogical analysis of
different paradigms of risk and their lines of descent (Aradau and van Munster, 2008c: 9). It is
arguable that research has erred towards a unilinear theory of the war on terror through using
a single measuring rod for comparing and contrasting CT modalities. However, as this thesis
argues, it is problematic to reduce PP to a singular discursive terrain of risk described and thus,
a more critical approach is required. A first step would be to take the dialectical relationship of
risk as interwoven within PREVENT(ion) more seriously.
It is not that alternative means of theorising
terrorism prevention should be downplayed; it is acknowledged that dichotomised rationales
exist. Nevertheless, the aim has been to highlight in an intellectually engaging manner the
relevance of concepts within ‘risk’ as measured against the empirical reality of PP at local
level. Moreover, the ways in which the relation between subjectivity and risk interact within
an inter-disciplinary framework might themselves be an object of study for future research.
Further, in similar manner to observations by Neal (2006) on the politics of exception, it would
be instructive for security studies and risk studies to engage with discourse, where discourse is
taken in the broadest possible sense: as a co-habitual relation between, objects, subject
positions, concepts and strategies (Neal, 2006: 43; Foucault, 2002). Interestingly, it is within
The Archaeology of Knowledge (Foucault, 2002) where Foucault outlines such guidance.
Drawing upon the work of Foucault, Neal (2006: 182) outlines, ‘looking into the various
discourses on madness, Foucault realises these are not all talking about the same thing. In legal
parlance, in religious settings, in medical diagnoses, and in daily experience, quite different
notions of madness are apparent; so much so as to undermine the idea that the statements are
united by a common object’ (Foucault, 2002: 35-36; see also Neal, 2006: 182). Similarly, the
theoretical departure point for this thesis has been that different notions of risk may be activated
within PREVENT by many different actors at particular times for diverse purposes, in the same
manner that Foucault suggests with the advancement of archaeological analysis (see inter alia
Foucault, 2002).
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This thesis has also taken great inspiration from an example outlined by Mythen
and Walklate (2005), ‘to raise problematic theoretical questions, lay bare contradictions in
policy and flag up residual ambiguities that require further investigation’. Thus, following
Mythen and Walklate (2005), the spirit of the thesis has been of one of adventure, rather than
empirical precision. Moreover, underlying this exploratory method is a belief that
criminological theory should enable us to offer up accounts of cause and effect by appreciating
the positive facets of more than an exclusive risk paradigm, together with a ‘willingness to
labour at the interface’ (Mythen and Walklate, 2005: 394). Furthermore, by situating the ambit
of the criminological imagination at the forefront the present study, this thesis has followed the
advice of Jock Young (2003) and endeavoured to continue the Mannheimian tradition of
exploring ‘dangerous thoughts’ - of thinking through and behind the contemporary
criminological scene towards a fuller understanding of the concepts it has come to adopt
(Mythen and Walklate, 2005: 395). Interestingly, Young (2003) advised for the need to
reconnect criminology to sociology. Should this thesis be read as an attempt of such? In certain
ways, perhaps.
Criminology, particularly with reference to “war on terror”, has stubbornly grappled
with the dichotomous question: ‘risk society’ or ‘governmentality’? The epistemological
underpinnings of this thesis refute the option of choice. Rather, as Jessop et al. (2008: 393)
suggest, it is important that research enables movement towards multi-dimensional and
polymorphous accounts based on: (a) the elaboration of sufficiently rich concepts for each of
the dimensions of said relations; and (b) their deployment in a manner that permits researchers
to explore more precisely their differential weighting and articulation in a given context.
Moreover, as Jessop et al., (2008: 393) observe, ‘failure to pursue this strategy can lead to two
distinct but symmetrical types of quasi-reduction to one-dimensional analyses. Both types
occur when the conceptual and theoretical framework for exploring one aspect of a complex
phenomenon has greater precision, depth, and breadth than the frameworks developed for other
aspects’. To conclude, whilst this
thesis has drawn attention to how different risk positions provide a mutually integrative
storyline of PP at local level, it would be interesting to see how many domains such a vantage
point could be applied. Through taking a rather unusual exploration, it is hoped we can progress
our understanding of risk by adopting an ameliorative approach that embraces the perspectives
and collective wisdom of risk positions despite immanent contradictions that seem apparent at
face value. Looking at the way in which two risk positions define and treat risk, this thesis has
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evidenced points of ambiguity that might act as catalyst for future scholars to explore the
possibilities of an “otherwise” (Doty, 2007); a key trajectory of critical scholarship.
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Zedner, L. (2009). “Fixing the Future? The Pre-emptive Turn in Criminal Justice”. In S.
Bronnit, B. McSherry, and A. Norrie (eds.), Regulating Deviance: The Redirection of
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Appendix A
National PREVENT Policing Funding Distribution 2010-2011:417
417 HM Government (2011b: 101).
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Appendix B
Local Authority Delivered (PREVENT) Activity in 2008:418
418 HM Government (2011b: 28)
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Appendix C
Local Authority Projects via DCLG Funding 2009-2011:419
419 HM Government (2011b: 29)
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Appendix D
PREVENT Priority Areas as of 2013:
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Key:
A: Leeds; B: Bradford; C: Blackburn; D: Manchester; E: Liverpool; F: Stoke; G: Derby; H:
Leicester; I: Birmingham; J: Cardiff; K: Luton; L: Brent; Camden; Ealing; Enfield;
Greenwich; Hackney; Hammersmith and Fulham; Haringey; High Wycombe; Islington;
Kensington and Chelsea; Lambeth; Lewisham; Newham; Redbridge; Tower Hamlets;
Waltham Forest; Wandsworth; and Westminster; M: Barking and Dagenham.
Appendix E
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CHANNEL Model Scheme:420
420 HM Government (2012d: 15)
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Appendix F
Case Study Tactics for Four Design Tests (adapted from Yin, 2003: 34):421
Tests Case study tactic Phase of research in which
tactic occurs
Construct validity
Internal Validity
External Validity
Reliability
Use of multiple sources of
evidence
Establish chain of evidence
Have key informants review
draft case study report
Do pattern-matching
Do explanation building
Address rival explanations
Use logic models
Use theory in single-case
studies
Use replication logic in
multiple-case studies
Use case study protocol
Develop case study database
Research design
Data collection
421 Text in italics indicate which design tests were adhered to within the present study.
Data analysis
Data collection
Composition
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Appendix G
Braun and Clarke’s Six Phases of Thematic Analysis (taken from Braun and Clarke, 2006):
Phase Description of the process
1. Familiarising yourself with your data: Transcribing data (if necessary), reading and re-reading
the data, noting down initial ideas.
2. Generating initial codes: Coding interesting features of the data in a systematic
fashion across the entire data set, collating data relevant
to each code.
3. Searching for themes: Collating codes into potential themes, gathering all data
relevant to each potential theme.
4. Reviewing themes: Checking in the themes work in relation to the coded
extracts (Level 1) and the entire data set (Level 2),
generating a thematic ‘map’ of the analysis.
5. Defining and naming themes: Ongoing analysis to refine the specifics of each theme,
and the overall story the analysis tells; generating clear
definitions and names for each theme.
6. Producing the report: The final opportunity for analysis. Selection of vivid,
compelling extract examples, final analysis of selected
extracts, relating back of the analysis to the research
question and literature, producing a scholarly report of
the analysis.
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Appendix H
Examples of Coding Technique:422
Overt ‘soft-power’ policing (interactions)
Multi-partnership through PREVENT as a product Overt ‘soft-power’ policing
safeguarding (strategies/tactics) (interactions)
Engagement dependent on trust (conditions)
Potential barrier to engagement (conditions)
Maintaining overt engagement (strategies/tactics) Potential barrier to engagement (conditions)
422 The right-hand margin highlights the descriptive codes used; text attached to arrows indicates the progression
towards phase two coding; and linguistic connectors i.e. examples given in the participants’ accounts, have been
highlighted with a dashed line in the right-hand margin.
‘Going back to the safeguarding issue with getting the buy-in with people who work
in that sphere, it’s making yourself visible; you get the trust by talking very openly
about what you’ll do with the information that they give ... And I think that it’s
perfectly understandable why some partner agencies might be reluctant to pick up
the phone, you know? It’s a very confidential area to report somebody in. You have
to have trust’.
2
3
4
5
6
7
‘Safeguard’/‘Buy-in’
‘Visibility’
‘Openness,’
‘Reluctance’
‘Confidentiality’
‘Trust’
(strategies/tactics)
‘The initial approach is there but afterwards you keep a link because a lot of
people, whether it be an organisation with a high turnover of staff who are
coming through, or the recent ... sort of ... situation with a lot of cuts going
through organisations, they’re losing a lot of staff, so they’ve got to juggle
their own resources. So you’ve got to keep that
engagement going. So it’s making sure people who are coming into new roles
are aware of the strategy’.
2
3
4
5
6
7
8
‘Maintain links’
‘Staff-turnover’
‘Job cuts’
‘Losing staff’
‘Finance’
‘Maintain links’
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Potential barrier to engagement Re-establishing overt engagement
(strategies/tactics)
PREVENT as a product (strategies/tactics) Terminology still used (strategies/tactics)
Partners as Frontline Increased partner understanding (interactions)
Terminology ceased Increased partner understanding Terminology increased
Decreased partner understanding
(Interactions)
(conditions)
‘I think we still absolutely use terms like radicalisation, grooming,
brainwashing and all the terms that have been used before, but safeguarding
is the term that they think best sums up what we do, but also its language that
other partners know and understand and we often start talks with ... “This is
about extremism, and terrorism”, which ... ultimately it is. But to get the buy-
in of all the range of frontline services that we give talks to, the safeguarding
is the bit that people instantly think, “Argh, I get it.” PREVENT is such a
meaningless word, in fact most people think it’s about crime prevention, sort
of ... the people who fit alarms and stuff ... So we’ve moved away from that
because it’s not helpful, whereas safeguarding is a word that is used daily by
your absolute key partners and people get that. That certainly features more
in our language. So whilst we still talk about the same issues and
radicalisation, it’s within the sphere of safeguarding’.
2
3
4
5
6
7
8
9
10
11
12
13
14
‘Terminology’
‘Safeguarding’
‘Language’
‘Buy-in’
‘Frontline’
‘Linguistic Connector’
‘Language’
‘Safeguarding’
‘Language’
‘Safeguarding’
(strategies/tactics) (strategies/tactics) (strategies/tactics)
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Situating PREVENT Engagement linked to gut feeling (strategies/tactics)
within ‘pre’-criminal space
(conditions) PREVENT as a product
Confidence to pre-empt Pre-emption
PREVENT as societal responsibility
‘Gut feeling is sort of, a strap-line that we use with all our sort of engagement,
whether we’re using the trust your instincts DVD or whether we’re using the
strap-line from the MET, it’s just about saying to people, right then, we’re talking
about terrorism or extremism here, things that they might sort of see as a very
high level, it’s a case of saying alright then, you might come into contact with
somebody, they might live next door, you know ... Somebody who you might see
changes, or something’s not quite right, we’re not saying it is definitely going to
be terrorism or extremism, it might be drugs for instance, but if you have, for
whatever reason, that feeling inside that suggests I don’t know what it is but
there’s just something not quite right with this person, that you have the
confidence to contact your local police, somebody at work through your local
partners, or the PREVENT team. And it is just about reacting to that gut feeling.
It might not be something as evident as you know? Chemical bottles in a
neighbours back garden but there’s just something, you know? You might see the
changes much like us, you know? Its communities that will defeat terrorism not
just us, you’re the ones who will see the changes and differences in your
communities’.
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
‘Gut feeling’
‘Instinct’
‘Strap-line’
‘High-level threat’
‘Linguistic Connector’
‘Feeling’
‘Confidence’
‘Gut feeling’
‘Linguistic Connector’
‘Social responsibility’
‘Community cohesion’
(strategies/tactics) (conditions)
(strategies/tactics)
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Appendix I
Examples of Block and File Phase One and Phase Two Coding:
Original Field notes Initial Code (One) Organising Code (Two)
PREVENT is about
relationships and they take time
to build up. And for me, as
much as you know, turnover of
staff, you’ve got to be mindful
with this, especially in probably
in our sort of area where we
have no statutory partners who
are full time on this because
we’re not a funded area, so
we’re relying on partners
goodwill.
High staff turnover
Potential barrier to overt
inter-organisational
counter-radicalisation
There’s so much pressure for
people to perform in individual
silos and it does worry me;
... situation with a lot of cuts
going through organisations,
they’re losing a lot of staff, so
they’ve got to juggle their own
resources. So you’ve got to
keep that engagement going. So
it’s making sure people who are
coming into new roles are
aware of the strategy;
Differing organisational
objectives
Potential barrier to overt
inter-organisational
counter-radicalisation
He was new to that division and
didn’t know what had gone on.
So again it depends on how
long you’ve been there; if
people have moved on they can
Lack of familiarity and
experience
Example(s) of Phase One and Phase Two Coding
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try and do stuff that could just
absolutely destroy some stuff at
times;
I’m seen as a bit of an outsider,
from the accent alone.
Decreased levels of trust
and confidence from
partners and communities
People like the fact that it’s the
same voice, it’s the same
person;
With the longevity of being in
post, we’ve been able to show
... look you’ve shown an
interest four years ago.
Heightened levels of
familiarity
Increased level of trust and
confidence from key
partners and communities
If you are completely open and
honest, and by giving examples
of how you’ve done things in
the past ... And again, word
clearly gets around;
By being open and honest it
hopefully builds up that trust
and confidence element;
It is just about being honest and
open, and that they’re not given
a switchboard number, they
have a personal telephone
number into this office;
It is very much about being
open and transparent.
Openness and honesty
Increased level of trust and
confidence of key partners
and communities
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Appendix J
Examples of Block and File Thematic Analysis with Explanation of Codes:
Name of data-driven code PREVENT Policing reliant on Trust
Explanation of code
Trust and confidence as an important
component of multi-agency partnership
approach to counter-radicalisation
(Interview details
per quote restricted)
Trying to get people on board ... explaining how
we deal with referrals, and, you know, trying to
gain that trust and confidence and support of
frontline institutions;
Without that trust and confidence, people just
aren’t going to pick up the phone or pop in to see
you;
You’d usually try and identify a trusted person
within the community;
One of the things essential to PREVENT is it’s
about trust and confidence – trust and confidence
in the process and the people involved;
It’s very much about, can we give people, in
terms of communities, partners, and internally
within the police, the trust and confidence to
understand what we’re trying to do – to work
with vulnerable people;
We do get things coming in from the community,
but it’s a case of spreading the word using your
key trusted individuals as partners within the
communities themselves to promote that
understanding.
Name of data-driven code Safeguarding through Language
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Explanation of code
Changes in terminology and language as a
crucial component of external and internal
engagement
(Interview details
per quote restricted)
It’s getting that terminology right that has proved
over the years doing this role, that people fully
understand safeguarding and if you contextualise
safeguarding to them, people seem to get
PREVENT more;
You’ve got to look at the terminology that people
understand, bring it down to terrorism and the act
is the final thing, but let’s take it back to the
beginning as it were, and let’s see why that
person has been vulnerable to being drawn into
that arena;
What terminology do you want? Because if you
do have somebody from their own organisation
there they do sort of get it;
Safeguarding is the term that they think best sums
up what we do, but also its language that other
partners know and understand;
I think the word safeguarding seems to soften the
strategy, the agenda. I think where a lot of
misconception with it has been because police
have been pushing the agenda, it must be a
criminal act ... Whereas when you talk about
safeguarding, it’s reminding people that this is
pre-criminal space and it seems to be more
accepting. So changing terminology and the best
terminology to use seems to be more welcoming
with a lot of organisations out there, so I think
that has helped massively;
You know, some of the universities don’t like
the terminology because it’s the academic
world. Let’s approach it in a way that they
actually like that terminology or want to discuss
it. So we might not just go in and mention
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terrorism, extremism or PREVENT; we would
always make reference to those but then we
would discuss it in a safeguarding format that
they get;
Most people see PREVENT in terms of
safeguarding now, particularly when you have
bodies like NHS on board ... it helps soften that
message, and you know ... that’s the way it
needs to be.
Name of data-driven code PREVENT as Assemblage
Explanation of code
Multi-partnership approach evidencing
points of fracture and dispersion
(Interview details
per quote restricted)
Now, at (name of university) we are officially
part of the Social Work course. We were hoping
to get in with Nursing, but that hasn’t quite
worked out ... teacher training ... but you know,
as time goes on it’s expanding and expanding,
but training still remains a significant part of our
job, either as one-off training, or with police, or
regular officers;
We’ll deal with NHS to some degree, although
they tend to do a lot of their own training. But
we’ll deal with some staff, adult safeguarding,
child safeguarding ... a lot of stuff with schools,
colleges and universities. And again ... schools
we identified as a key area, one area where it’s an
absolute nightmare to get into and its very much
based on an individual school’s buy-in, ‘cause
either the Head Teacher “gets it” ... or because
something has happened at a particular school
and they think ... “Argh right” ... But that is a real
problem;
Everybody’s complaint within PREVENT is that
schools ... not necessarily because they’re against
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(Interview details
per quote restricted)
PREVENT, but because they just don’t have the
time in the timetable ... and it’s sort of mentioned
in the Extremism Task Force but it doesn’t really
say a great deal that we already didn’t know;
Very much from the academic side is that if we
do into universities and use the word “radical”
they will turn round and say, “there’s nothing
wrong with being radical”;
So we have an individual, we know he’s
vulnerable, he gets referred in through the
CHANNEL process, the partners go: “nah, sorry,
it’s mental health, that’s got nothing to do with us”.
So then it’s a case of - what do we do with that
individual?
We go into the voluntary sector, Community
Youth Groups, Youth Offending Teams, UKBA ...
a lot of housing groups, particularly a lot of
housing where they’re supported by (name of local
housing group), which is a housing group which
looks after people with mental issues. And it tends
to be these groups, they ask us to come along as a
one-off, but some others are almost embedded;
Still there are those who simply will not accept
what PREVENT’s about and that’s still the
ongoing challenge. And unfortunately, it takes the
likes of a Woolwich to underline that, and God
forbid that something else happens that then makes
people realise, “Right, we have to take this
seriously”, and then doctors say, you know,
“Right, we’re willing to share this information
because we can’t do this on our own”. Yes,
patient/doctor confidentiality is very important but
ultimately we need to support that individual and I
think there are cases where it’s been shown not to
be the case;
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We’re struggling a little bit in getting into the
schools because the schools are dictated by the
curriculum and they don’t have to take you on
board.
Name of data-driven code Buying into PREVENT
Explanation of code
Multi-partnership approach understood
through “buy-in”
(Interview details
per quote restricted)
So we have to tread, understandably, very
carefully in order to get that buy-in;
You’ve got to understand that your
communities are actually a bit more to do with
things like housing, health; these are the things
that actually concern people far more, and if
you jump over to these onto other subjects ...
You have to try and first get that buy-in. If you
haven’t got the buy-in of your neighbourhood
teams, you really are missing a trick;
If you want to get people to buy into what you
do, it’s quite useful to make them aware that
you are looking at every form of extremism
including the people who are making your lives
increasingly griefy;
We’ve got buy-in from the senior management
teams from that department ‘cause we have
different directives within force, but within the
force area to ... you know ... engage with the
police with regard to CONTEST, and
specifically PREVENT, you go through a gold,
silver, bronze CONTEST structure;
... we often start talks with ... “This is about
extremism and terrorism”, which ... ultimately
it is. But to get the buy-in of all the range of
frontline services that we give talks to, the
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safeguarding is the bit that people instantly
think, “Argh, I get it”;
If you go to the Heads of your partners and get
their buy-in it makes it much easier to roll it out
further along down the line;
...Going back to the safeguarding issue with
getting the buy-in with people who work in that
sphere.
Name of data-driven code PREVENT as a Product
Explanation of code
PREVENT officers’ understanding of
PREVENT as a product in relation to multi-
agency engagement
(Interview details
per quote restricted)
We all deal with it differently on how we try to
promote ourselves and get ourselves out into
them areas. So I came upon with a little bit of
an email of products we did, like, table topping
exercises with children and courses like the
‘ACT NOW’ we do. We go and give a
presentation or a DVD on conviction ... there’s
loads of ACPO products we can use ... some we
don’t use because we don’t think that they work
very well.
So one went in to MAPPA who were told of
some violent things which were going on in the
house and how they were dealing with it. They
got invited on to the MAPPA panel, referred by
the Head Teacher so ... the first time they seen
me was turning up trying to sell them this
product, and then they suddenly seen me sat at
a MAPPA panel;
There’s generally new ACPO products that are
coming out and you’ll get emails from them
saying; there’ll be an event on a certain day, and
it’s attending to get trained up in something;
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(Interview details
per quote restricted)
It gets rolled-out differently up and down the
county ... so we’ll get given a product and it’s
however best we think it’ll work here to
promote it;
If we’ve got a new ACPO product come out
that’s worked in one area but not in another ...
so like ... for us here, we seem to do brilliantly
with the ACT NOW product in universities and
colleges;
You’ve got to literally go out and do a bit of a
... I suppose you can class it as a bit of a sales
pitch – you’re trying to sell this product to them
and trying to explain how you see it fitting
within their roles;
I’ve got a team of (number) doing PREVENT
so you go to the local police, and it’s almost a
sales pitch to say, we have this product to bring
awareness to you around PREVENT;
You’ll be aware that ACPO have a number of
sort of ... national products that can be used
across health, colleges, universities etc., usually
in DVD format, whether that be .... to me that
product does need some sort of context putting
to it, whether us going in or whether you train
a partner up to show that there are national
products, but they are not a one size fits all
which we have found within our area so a
couple of instances, we have made local
products;
So again, we appreciate with having only
(number) in the team we are not going to hit
everyone, so we’ve got to work that little bit
smarter, so one thing we’re literally in the
process of rolling-out is that product;
You have to be sensible and efficient with how
we go out and deliver this product now;
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We do free training, “If you want training here
are some of our products”.
Appendix K
Fieldwork Participant Consent Form:
Information Sheet for Consent Form 423
I am PhD student in the school of Social Sciences at MMU. I am conducting research as part of
my PhD thesis and I would greatly appreciate your participation in this project.
Please read this read this information sheet carefully before you consider consenting to take part
in this research.
Title of Research Project The evolving meaning of prevent policing,
community engagement and social control in the
context of a progression towards both ‘reflexive
modernisation’ and ‘dispositif’ precautionary
risk’
Name of Researcher Paul Dresser
Researcher’s Contact Details Email: [email protected]
Email: [email protected]
Mobile Number: 07912680933
423 The title of the thesis was subsequently shortened; hence the different title on the Consent Form.
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Name of Supervisor Dr Kathryn Chadwick
Dr Robert Grimm
Dr Peter Joyce
Supervisor’s Contact Details Dr Kathryn Chadwick:
Aims of this research To consider critically the implications of Beck’s
‘risk society’ and Foucault’s ‘governmentality’
thesis to our understanding of the revised
prevent policy, community engagement and
Prevent Policing practice with a specific focus
upon ‘risk’. It is hoped the data from this
research will establish a wider-ranging agenda
for criminological thought as a result of a fuller
embrace of interdisciplinary risk theories.
Why do you want me as a participant? I wish to interview Prevent police officers/staff
to explore their views on community
engagement, Prevent and associated policing
practice both pre-and post- policy revision
(2011).
What will this involve? It is proposed interviews are to last between 60-
120 minutes and each interviewee to be
interviewed a minimum of three times.
How will my data be recorded? Dictaphone
Will this be confidential? Yes, only pseudonyms will be used. Your data
will be stored on a secure part of my computer.
Your data will not be stored on common areas
of networks or on desktops of shared computers.
Your data will only be accessed by me and my
supervisor and the second marker(s). Your data
will be destroyed at the end of my
dissertation/thesis work.
What If I Change My Mind? If at any point during the interview or afterwards
you may withdraw your consent from the
research. This means I will not use your data
and will destroy any data collected related to
you.
Can I Read Your Results? Yes
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PhD THESIS PARTICIPANT CONSENT FORM
T
Title of Project: ‘The evolving meaning of prevent policing, community
engagement and social control in the context of a progression towards both
‘reflexive modernisation’ and ‘dispositif’ precautionary risk’.
Name of researcher: PAUL DRESSER
Name of supervisor: Dr. KATHRYN CHADWICK
Please initial box
1. I confirm that I have read and understand the information
sheet dated………. for the above study. I have had the
opportunity to consider the information, ask questions and
have had these answered satisfactorily. I acknowledge the
risks associated with the study and they have been
explained to me.
2. I understand that my participation is voluntary and that I
am free to withdraw at any time without giving any reason,
without my medical care or legal rights being affected.
3. I agree to take part in the study.
_____________________ ____________ ____________________
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305
Name of participant Date Signature
_______________________ ____________ ____________________
Name of person Date Signature
taking consent